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The proper treatment of outstanding checks on a bank reconciliation is to show them as which of the following? Addition per book balance of cash
The proper treatment of outstanding checks on a bank reconciliation is to show them as which of the following? Addition per book balance of cash Deduction per bank statement balance Deduction per book balance of cash Addition per bank statement balance
The proper treatment of outstanding checks on a bank reconciliation is to show them as which of the following?
Addition per book balance of cash
Deduction per bank statement balance
Deduction per book balance of cash
Addition per bank statement balance
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