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Question 46 (1 point) Saved In preparing a bank reconciliation, outstanding cheques are added to the balance per books. deducted from the balance per bank.
Question 46 (1 point) Saved In preparing a bank reconciliation, outstanding cheques are added to the balance per books. deducted from the balance per bank. deducted from the balance per books. added to the balance per bank. Question 47 (1 point) Saved Selection of an inventory cost formula by management should be influenced most by
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