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Harrison Harrison
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Posts: 626
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6 years ago
Which of the following items below may be made to reconcile a book balance to a bank balance?
A) a deposit in transit
B) an EFT receipt
C) outstanding cheques
D) an addition or subtraction to correct a bank error, as appropriate
Textbook 
Financial Accounting, Canadian Edition

Financial Accounting, Canadian Edition


Edition: 5th
Authors:
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AlexmosutheAlexmosuthe
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Posts: 470
6 years ago
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6 years ago
This calls for a celebration Person Raising Both Hands in Celebration
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