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Multiple Choice 1/1 point (ungraded) Which of the following would not be a reason to adjust the receivables ledger during a control account reconciliation? The
Multiple Choice 1/1 point (ungraded) Which of the following would not be a reason to adjust the receivables ledger during a control account reconciliation? The total column in the sales day book has been miscast An invoice from a customer was recorded twice in the customer's account A credit note was posted to a customer's account as a debit A cheque received from a customer was debited to the customer's account
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