题目内容

Inabankreconciliation,itemsrecordedbythebank,butnotyetrecordedbythecompany,include:

A. depositsintransit.
B. bankcollections.
C. outstandingchecks.
D. bothdepositsintransitandoutstandingchecks.

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Ifabookkeepermistakenlyrecordsadisbursementas$36insteadofthecorrectamountof$63,theerrorshouldbeshownonthebankreconciliationasa:

A. $27additiontothebooks.
B. $27deductionfromthebooks.
C. $36additiontothebooks.
D. $36deductionfromthebooks.

Ifthebankrecordsadepositof$800as$80,theerrorshouldbeshownonabankreconciliationasa(n):

A. deductionfromthebookbalanceof$880.
B. deductionfromthebankbalanceof$880.
C. additiontothebankbalanceof$720.
D. additiontothebookbalanceof$720.

Therearetworecordsofabusiness'scash:

A. thecashaccountinthegeneralledgerandthepettycashbox.
B. thecashaccountinthegeneralledgerandthejournalentriesfromthebankreconciliation.
C. thebankstatementandthecashaccountinthegeneralledger.
D. thebankstatementandthecashinpettycash.

AbankstatementincludedaNSFcheckfromcustomerKimFieldsfor$2,100.Thejournalentrytorecordthisreconcilingitemshould:

A. debitNSFandcreditCashfor$2,100.
B. debitCashandcreditAccountsReceivablefor$2,100.
C. debitAccountsReceivableandcreditCashfor$2,100.
D. debitCashandcreditNSFfor$2,100.

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