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H3Ko H3Ko
wrote...
Posts: 4891
7 years ago
Which of the following items are reconciling items on the bank side of the reconciliation?
A) bank service charge and correction of book error
B) deposit in transit and NSF check
C) deposit in transit and outstanding checks
D) outstanding checks and correction of book error
Textbook 
Horngren's Financial & Managerial Accounting, The Financial Chapters

Horngren's Financial & Managerial Accounting, The Financial Chapters


Edition: 5th
Authors:
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Mrgo-breedMrgo-breed
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Posts: 2227
7 years ago
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H3Ko Author
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7 years ago
I just realized you had posted this! Thanks so much
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7 years ago
I'm liking this Slight Smile
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