If the amount of a cheque is incorrectly listed on the bank reconciliation of April 19x9 but is correctly listed on the bank statement of May 19x9 where is the correction made during the bank reconciliation, is it in the supplementary cash book?
![]() |
If the amount of a cheque is incorrectly listed on the bank reconciliation of April 19x9 but is correctly listed on the bank statement of May 19x9 where is the correction made during the bank reconciliation, is it in the supplementary cash book?
What is a supplementary cashbook
All times are GMT -7. The time now is 07:57 PM. |