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Question 5 Ace Inc. made a recording error. The check written t o a supplier for $ 6 5 0 was incorrectly recorded i n

Question 5
Ace Inc. made a recording error. The check written to a supplier for $650 was incorrectly recorded in the ledger as $560. During a bank
reconciliation process, $90 should be
Added to the bank statement balance
Added to the depositor's balance
Subtracted to the bank statement balance
Subtracted to the depositor's balance
Both 1 and 2
Both 3&4
No adjustment is requirement
*Enter the item number for your answer
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