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Indicate by placing an x under the appropriate heading or the following bank reconciliation actions: situation add to bank balance deduct from bank balance add
Indicate by placing an "x" under the appropriate heading or the following bank reconciliation actions:
situation | add to bank balance | deduct from bank balance | add to checkbook balance | deduct from checkbook balance |
1. bank service charge | ||||
2. deposit in transit | ||||
3. bank credit memorandum | ||||
4. NSF check | ||||
5. $50 payment was incorrectly recorded by the bookkeeper as $60 | ||||
6. Direct deposit | ||||
7. bank debit memorandum | ||||
8. outstanding check | ||||
9. voided check 10. Interest 11. Deposit slip 12. Check issued (payment) |
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