Not your question?
Ask your question
View similar questions
Add your answer here.Check out some similar questions!
Bank Reconciliation
[ 9 Answers ]
1. The CASH account in the Depositors Ledger is an what? (a)asset with debit balance (b) asset with credit balance (c) liability with a debit balance (d) liability with a credit balance 2. Following the completion of the bank rec. and adjusting entry was made that debited cash and redited...
Bank Error in bank reconciliation
[ 3 Answers ]
If the bank make a mistake of recording a deposit of 87 dollars as 78 dollars, this error will be shown in the bank reconciliation as : Ans: deduction of 9 dollars to the bank balance I think this should be the correct ans, isn't it? Cos the ans in my book was addition of 9 dollars to the bank...
Bank reconciliation
[ 2 Answers ]
If a check for $2,420.00 was returned with the statement was recorded as $2,024.00, under which heading do I make changes. I know I need to make it for $360.00 but do I do under balance per bank, or balance per books?
Bank reconciliation
[ 3 Answers ]
Why, in simple terms please, when a cheque in credit side of cash book is recorded twice, do we reconcile it by adding it to the cash book?! Or is my teacher losing his marbles, or maybe just testing us?? Thanks View more questions Search
|