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answer both n 9 (1 point) hen preparing a bank reconciliation, which of the rom the company's cash balance? Outstanding cheques Deposits in transit Note
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n 9 (1 point) hen preparing a bank reconciliation, which of the rom the company's cash balance? Outstanding cheques Deposits in transit Note receivable collected by the bank. Bank service charges. Question 10 (1 point) 21 What is an extraordinary repair to a building? s; O It is a capital expenditure and it is debited to an expense account It is a revenue expenditure and it is debited to an expense coat It is a capital expenditure and it is debited to an asset account 24 $$ 23 It is a revenue expenditure and may be debited to accumdated director point) ole Step by Step Solution
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