Multiple Choice
Using the code letters below, indicate how each of the items listed would be handled in preparing a bank reconciliation. Enter the appropriate code letter in the space to the left of each item.
-Bank debit memorandum for cheque printing fees
A) Add to cash balance per books
B) Deduct from cash balance per books
C) Add to cash balance per bank
D) Deduct from cash balance per bank
E) Does not affect the bank reconciliation
Correct Answer:

Verified
Correct Answer:
Verified
Q47: Receivables are claims that are expected to
Q48: Match the items below by choosing the
Q49: If a cheque correctly written and paid
Q50: Under the direct write-off method, when a
Q51: A cheque for $157 is incorrectly recorded
Q53: The recoverable amount of trade receivables is
Q54: Using the code letters below, indicate how
Q55: The cash records of the Kilimanjaro Ltd
Q56: Match the items below by choosing the
Q57: Match the items below by choosing the