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Question 31 10 pts Indicate how each of the items listed would be handled in preparing a bank reconciliation A check for $236 was correctly

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Question 31 10 pts Indicate how each of the items listed would be handled in preparing a bank reconciliation A check for $236 was correctly paid by the bank but was incorrectly entered in [Choose ] Does not affect the bank reconciliation Deduct from cash balance per bank Deduct from cash balance per books Add to cash balance per books Add to cash balance per bank The bank returns a customer's deposited check marked NSF Deposit in transit [Choose ] Outstanding checks > [Choose]

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