Multiple Choice
In the reconciliation of the June bank statement,a deposit made on June 30 did not appear on the June bank statement.How is this deposit in transit shown on the bank reconciliation?
A) Subtracted from the unadjusted book balance.
B) Added to the unadjusted book balance.
C) Subtracted from the unadjusted bank balance.
D) Added to the unadjusted bank balance.
Correct Answer:

Verified
Correct Answer:
Verified
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