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Question 10 of 10 -/3 View Policies Current Attempt in Progress The following reconciling items are applicable to the bank reconciliation for Forde Co. Indicate
Question 10 of 10 -/3 View Policies Current Attempt in Progress The following reconciling items are applicable to the bank reconciliation for Forde Co. Indicate how each item should be shown on a bank reconciliation. (a) Outstanding checks. Added to Cash Balance Per Books Deducted from Cash Balance Per Bank Added to Cash Balance Per Bank Deducted from Cash Balance Per Books (b) Bank debit memorandum for service charge. (c) Bank credit memorandum for collecting an electronic funds transfer. (d) Deposits in transit
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