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British Columbia Institute of Technology FMGT 1100 - Accounting 1 mark he handled when preparing each item o . C hcete bekindate how each of

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British Columbia Institute of Technology FMGT 1100 - Accounting 1 mark he handled when preparing each item o . C hcete bekindate how each of the items t Enter the app enderer in the pore te Code Add to books Dechet from books. C Add to bank D Deduct from bank Does not affect the bank reconciliatio 1 Outstanding cheques Cheque for $320 correctly written and paid by the bank but incorrectly entered in the general journal for $230 1 3. Deposit in transit 4. Bank returns deposited cheque marked NSF. 5. Bank collects accounts receivable for depositor electronically. 6. Bank debit memorandum for cheque printing fees 7. Perry cash custodian has $86 in paid petty cash vouchers that have not been reimbursed 8. Bank charged a cheque against the company that should have been charged to another company

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