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38 Which of the following items on a bank reconciliation requires an adjusting entry on the company's books? ed out of O a. An error

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38 Which of the following items on a bank reconciliation requires an adjusting entry on the company's books? ed out of O a. An error by the bank his question O b. Outstanding cheques O c. A deposit in transit O d. A bank service charge tion 37 A trial balance: ret ered zed out of lag question O a. is a list of accounts with their balances at a specific time O b. Will not balance if a correct journal entry is pohed twice OC. Proves that transactions have been correctly journalized O d. Proves that all transactions have been recorded n 36 t red A $1,000 purchase of merchandise inventory is made on April 12 with terms 2/10 n30. On April 16, merchandise costing $150 is returned. What amount will be paid if payment is made in full on April 21? d out of g question O a. $833 O b. $850 OC 5930 od. $830

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