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When doing the monthly bank reconciliation (BR), a NSF cheque and associated fee should: be added back to the balance per bank on the BR

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When doing the monthly bank reconciliation (BR), a NSF cheque and associated fee should: be added back to the balance per bank on the BR be added back to the balance per books on the BR be deducted from the balance per bank on the BR be deducted from the balance per books on the BR not be part of the BR because it was accounted for in the bank statement

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