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7. Una empresa recibi un pago de un cliente; debit Cash y acredit Accounts receivable. Deposit el cheque en su cuenta bancaria. Una semana despus

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7. Una empresa recibi un pago de un cliente; debit Cash y acredit Accounts receivable. Deposit el cheque en su cuenta bancaria. Una semana despus recibi el cheque de vuelta porque no tena fondos suficientes. El banco inform a la empresa que no depositara nuevamente el cheque. Qu deber hacer la empresa en sus libros? a. Nada. Basta con informar al cliente que el cheque no tena fondos. b. Debitar NSF Checks y acreditar Cash c. Debitar Accounts Receivable y acreditar Cash d. Debitar Allowance for doubtful accounts y acreditar Cash

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