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每日一练F3 答案回复可见

In preparing a company’s bank reconciliation statement at March 2003, the following items are causing the difference
between the cash book balance and the bank statement balance:

(1)  Bank charges $380
(2)  Error by bank $1,000 (cheque incorrectly debited to the account)
(3)  Lodgements not credited $4,580
(4)  Outstanding cheques $1,475
(5)  Direct debit $350
(6)  Cheque paid in by the company and dishonoured $400

Which of these items will require an entry in the cash book?

A    2, 4 and 6
B    1, 5 and 6
C    3 and 4
D    3 and 5

B

b

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