Multiple Choice
Which of the following items would require a journal entry following preparation of the bank reconciliation statement?
A) Error by the bank
B) Error by the company
C) Unpresented cheques at end of the month
D) Receipts not yet banked
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q2: In preparing the monthly bank reconciliation, Jon
Q5: In preparing a bank reconciliation statement for
Q9: Included in the bank statement was
Q10: In preparing a bank reconciliation statement for
Q12: The statement that compares the balance as
Q13: Simon Ltd's bank statement showed a credit
Q15: The debit recorded in the journal to
Q17: In preparing a bank reconciliation statement for
Q18: Which of the following is NOT correct?
Q19: In preparing the monthly bank reconciliation,Fur