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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 reconciliationclassification
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.
tableCheck Outstanding at the end of the monthBank service Charges,tableDeposit in transittableInterest earned on the average balance during on theaccount during the monthtableCollection of a Note Receivable and an Interest Receivablewhich the bank collected and deposited in your accounttableA check drawn by another depositor which the bankerroneously deducted from your accounttableA check deposited by another depositor which the bankerroneously added to your accounttableError in the check No which was drawn in the amountof $ but was recorded in the accounting records as $tableCustomer check deposited in the bank but returned as NSFBank charge fees of $ for the NSF check return above
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