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1) In the adjusting entries for a bank reconciliation, cash would be ______________ if the transaction was an addition. Debited Credited There is not enough

1) In the adjusting entries for a bank reconciliation, cash would be ______________ if the transaction was an addition.

Debited

Credited

There is not enough information given the problem to determine this

2) In the adjusting entries for a bank reconciliation, an NSF check would be a debit to which account?

Accounts Payable

Accounts Receivable

NSF Check Payable

NSF Check Receivable

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