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Bank Reconciliation
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Problem 10
Bank Reconciliation
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6. Internal Controls and Reporting Cash / Bank Reconciliation / Problem 10
Problem 10
A company receives an NSF check for \$400. What adjustment should be made to the book balance?
A
Add \$400 to the book balance.
B
Subtract \$400 from the book balance.
C
Subtract \$400 from the bank balance.
D
Add \$400 to the bank balance.
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