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    Financial Accounting Study Set 7
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    Exam 4: Cash and Receivables
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    When Preparing a Bank Reconciliation,which of the Following Items Would
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When Preparing a Bank Reconciliation,which of the Following Items Would

Question 141

Question 141

Multiple Choice

When preparing a bank reconciliation,which of the following items would be added to the book balance?


A) EFT payments
B) deposits in transit
C) NSF cheques
D) EFT cash receipts

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