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1. What do you call to the process of transferring journal entry information from the journal to the ledger? 2.How would an NSF cheque be

1. What do you call to the process of transferring journal entry information from the journal to the ledger?

2.How would an NSF cheque be recorded on a bank reconciliation?

3.What book reconciling item that refers to deposits credited by the bank to the account of the depositor but not yet recorded by the depositor as cash receipts?

4.If the company recognize a depreciation expense during the month, would this affect the cash account balance?

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