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14.30 The preparation of a bank reconciliation requires that the following adjustments to the cash balance on the bar statement Select one: O a. Addition
14.30 The preparation of a bank reconciliation requires that the following adjustments to the cash balance on the bar statement Select one: O a. Addition of the deposit in transit and deduction of the outstanding cheques. O b. Addition of the outstanding cheques and deduction of the deposit in transit O . Addition of the note and interest collected by the bank and deduction of the choque marked NSF Od Deduction of the outstanding cheques and the cheque marked NSF 150138 The balance of the adjusted cash balance per books should be. Select one: O a $2.980. O b. $2,500 O . $2,820 Od $2,660 16:38 Which of the following should not be included in the journal entries prepared by Sysko at January 31 due to the bank reconciliation? Select one: O a. A credit to interest revenue for $80 and a credit of cash for $80, O b. A debit to accounts receivable of $160 and a credit of cash for $160. O . A debit to bank service charge for $18 and a credit of cash for $18. Od. A debit to outstanding cheques for $480 and a credit of cash for $480
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