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The following bank reconciliation statement has been prepared by a trainee accountant:
$
Overdraft per bank statement 3,860
less: Outstanding cheques 9,160
–––––––
5,300
add: Deposits credited after date 16,690
–––––––
Cash at bank as calculated above 21,990
–––––––
What should be the correct balance per the cash book?
A $21,990 balance at bank as stated
B $3,670 balance at bank
C $11,390 balance at bank
D $3,670 overdrawn.

 

B

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