欢迎来到牛牛题库网 牛牛题库官网
logo

单项选择题

The following bank reconciliation statement has been prepared by a trainee accountant: BANK RECONCILIATION 30 SEPTEMBER 20X2 $ Balance per bank statement (overdrawn) 36,840 Add: lodgements credited after date 51,240 88,080 Less: outstanding cheques 43,620 Balance per cash book (credit) 44,460 Assuming the amounts stated for items other than the cash book balance are correct, what should the cash book balance be?
A、$44,460 credit as stated
B、$60,020 credit
C、$29,220 debit
D、$29,220 credit

点击查看答案&解析
微信小程序免费搜题
微信扫一扫,加关注免费搜题

微信扫一扫,加关注免费搜题