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A Cheque Was Written by a Business for $205,but Was

Question 4

Multiple Choice

A cheque was written by a business for $205,but was recorded in the cash payments journal as $502.How would this error be included on the bank reconciliation?


A) A deduction on the book side
B) An addition on the bank side
C) A deduction on the bank side
D) An addition on the book side

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