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Problems. Bank reconciliation - classification Indicate how the following items would be treated in a bank reconciliation. You may choose from the following answers: (

Problems.
Bank reconciliation-classification
Indicate how the following items would be treated in a bank reconciliation. You may choose from the following answers:
(A) Deducted from the balance per accounting records.
(B) Added to balance per accounting records.
(C) Deducted from balance per bank statement.
(D) Added to balance per bank statement.
\table[[,1,Check Outstanding at the end of the month],[2,Bank service Charges,],[3,\table[[Deposit in transit],[4]],\table[[Interest earned on the average balance during on the],[account during the month]]],[5,\table[[Collection of a Note Receivable and an Interest Receivable],[which the bank collected and deposited in your account]],],[6,\table[[A check drawn by another depositor which the bank],[erroneously deducted from your account]],],[7,\table[[A check deposited by another depositor which the bank],[erroneously added to your account]],],[8,\table[[Error in the check No 301, which was drawn in the amount],[of $650 but was recorded in the accounting records as $65]],],[9,\table[[Customer check deposited in the bank but returned as NSF],[10]],Bank charge fees of $25 for the NSF check return above]]
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