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Need help asap please Name: Section: 2. An NSP check should appear in which section of the bank reconciliation? Deductions from the balance per books
Need help asap please
Name: Section: 2. An NSP check should appear in which section of the bank reconciliation? Deductions from the balance per books Deductions from the balance per bank Additions to the balance per books d. Additions to the balance per bank b 3. Which of the following would be added to the balance per bank? Outstanding checks Bank service charges Collection of a receivable by the bank d Deposits in transit 4. Conan Company has the following bank items Balance per company books Balance per bank statement Deposit in transit Outstanding checks Interest income Service charge The adjusted dank balance should be a $25,000 b. $25,025 C. $25,400 d. $25,425 $25.000 25,225 400 600 50 25 3. Marta Company has the following bank items: Balance per company books Balance per bank statement Deposit in transit Outstanding checks Interest Revenue Service charge The adjusted book balance should be a. $49,250 b. $50,000 c. $50,050 d. $50,850 $50,000 50,450 800 1,200 100 50 Step by Step Solution
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