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Bank Reconciliation Classifications: Indicate how the following items would be treated in a bank reconciliation Deposit in-transit at the end of the month [Choose) Deducted

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Bank Reconciliation Classifications: Indicate how the following items would be treated in a bank reconciliation Deposit in-transit at the end of the month [Choose) Deducted from the balance per Mounting records Added to balance per bank statement Added to balance per accounting records Deducted from balance per bank statement Not included in a bank reconciliation Bank Service Charges [Choose) Checks outstanding at month-end [Choose Customer check deposited in bank but returned as NSF Choose Interest earned on the average balance during the month . Previous

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