Question: Question 33 Match proper internal control with each scenario: 42 The treasurer compares the total cash receipts to the bank deposit daily. [Choose] [Choose Segregation

 Question 33 Match proper internal control with each scenario: 42 The
treasurer compares the total cash receipts to the bank deposit daily. [Choose]

Question 33 Match proper internal control with each scenario: 42 The treasurer compares the total cash receipts to the bank deposit daily. [Choose] [Choose Segregation of duties, Independent internal verification Establishment of responsibility. Documentation procedures. Only the treasurer holds cash receipts. The bookkeeper records cash receipts which are held by the treasurer [ Choose] Deposit slips are completed for each deposit. [ Choose Question 34 2.5 pts When a check is correctly written and paid by the bank for $491 but is incorrectly recorded on the Target's books for $419, the appropriate treatment on the bank reconciliation would be to add $72 to the book's balance subtract 572 from the book's balance. deduct $72 from the bank's balance deduct 5491 from the book's balance

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