Question: When preparing a bank reconciliation, outstanding checks should be: Multiple Choice subtracted from the checkbook balance. added to the bank statement balance. ignored until they

When preparing a bank reconciliation, outstanding checks should be:
Multiple Choice
subtracted from the checkbook balance.
added to the bank statement balance.
ignored until they have cleared.
added to the checkbook balance.
subtracted from the bank statement balance.
 When preparing a bank reconciliation, outstanding checks should be: Multiple Choice

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