Top Posters
Since Sunday
7
6
o
5
b
4
s
3
j
3
b
3
m
3
K
3
g
3
L
3
w
3
New Topic  
Tomm Tomm
wrote...
Posts: 653
Rep: 0 0
6 years ago
In a bank reconciliation, outstanding cheques are:
A) added to the bank balance on the bank statement
B) added to the bank balance in the general ledger
C) deducted from the bank balance on the bank statement
D) deducted from the bank balance in the general ledger
Textbook 
Financial Accounting, Canadian Edition

Financial Accounting, Canadian Edition


Edition: 5th
Authors:
Read 140 times
1 Reply
ACC 925
Replies
Answer verified by a subject expert
AlexmosutheAlexmosuthe
wrote...
Posts: 470
6 years ago
Sign in or Sign up in seconds to unlock everything for free
More solutions for this book are available here
1

Related Topics

Tomm Author
wrote...

6 years ago
This calls for a celebration Person Raising Both Hands in Celebration
wrote...

Yesterday
You make an excellent tutor!
wrote...

2 hours ago
Thank you, thank you, thank you!
New Topic      
Explore
Post your homework questions and get free online help from our incredible volunteers
  1042 People Browsing
Related Images
  
 296
  
 94
  
 282