The reconciling item in a bank reconciliation that will result in an adjusting entry by the depositor
Question:
The reconciling item in a bank reconciliation that will result in an adjusting entry by the depositor is:
(a) outstanding checks.
(b) deposit in transit.
(c) a bank error.
(d) bank service charges.
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Related Book For
Financial And Managerial Accounting
ISBN: 9781118004234
1st Edition
Authors: Donald E. Kieso, Paul D. Kimmel, Jerry J. Weygandt
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