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When preparing a bank reconciliation, which of the following items would require an entry to be make on the books of the company after completing
When preparing a bank reconciliation, which of the following items would require an entry to be make on the books of the company after completing the reconciliation?
A. | A $175 deposit in transit for cash received during a Saturday, half-day of work. | |
B. | $214 for an NSF check returned by the bank. The check was originally received from customer K. Meyers. | |
C. | None of the other answers | |
D. | $640 for a check written and mailed to Bexar Office Wholesaler. |
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