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For Which of the Following Errors Should the Appropriate Amount

Question 40

Multiple Choice

For which of the following errors should the appropriate amount be added to the balance per bank on a bank reconciliation?


A) Cheque for $43 recorded as $34 by the company
B) A returned $200 cheque recorded by the bank as $20
C) Cheque for $35 recorded as $53 by the company
D) Deposit of $500 recorded by the bank as $50

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