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W WI Wh 2. Cred Use the responses below to answer Questions 40 through 44 that follow. The questions concern how to treat various
W WI Wh 2. Cred Use the responses below to answer Questions 40 through 44 that follow. The questions concern how to treat various items when reconciling the company's cash account with the bank statement. A. Add to the company's book side of the bank reconciliation. B. Subtract from the company's book side of the bank reconciliation. C. Add to the bank balance side of the bank reconciliation. D. Subtract from the bank balance side of the bank reconciliation. 40. Bank service charges that appear on the bank statement. 41. NSF checks that are indicated on the bank statement. 42. Checks the company has written that do not appear on the bank statement. 43. Another company's check the bank has erroneously deducted from the company's account. 44. A payment collected from a customer, made directly to the bank, that appears on the bank statement.
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