题目内容

Differencesbetweentheamountofcashreportedonacompany'sbankstatementandthebalanceinthecompany'scashaccountbeforethebankreconciliationareprimarilydueto:

A. errorsintheaccountingprocessbythecompany.
B. errorsmadebythebank.
C. differencesbetweenthecashbasisandaccrualbasisofaccounting.
D. thetimingdifferenceinrecordingtransactions.

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Whenpreparingabankreconciliation,whichstatementisright?

A. depositsintransitareaddedtothebankbalance.
B. servicechargesaresubtractedfromthebankbalance.
C. outstandingchecksaredeductedfromthebookbalance.
D. bookerrorsaresubtractedfromthebankbalance.

Whichofthefollowingitemscanbesubtractedfromthebankbalancewhenpreparingthebankreconciliation?

A. Servicecharges
B. NSF
C. Depositsintransit
D. Outstandingchecks

Inabankreconciliation,aNSFcheckis:

A. addedtothebankbalance.
B. addedtothebookbalance.
C. deductedfromthebookbalance.
D. deductedfromthebankbalance.

Inabankreconciliation,anEFTcashpaymentis:

A. addedtothebankbalance.
B. addedtothebookbalance.
C. deductedfromthebookbalance.
D. deductedfromthebankbalance.

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