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Financial Accounting Study Notes: Bank Reconciliation, Retained Earnings, and Internal Controls

스터디 가이드 - 연습 문제

노트에서 생성된 연습문제로 지식을 시험해 보세요

  • #1 객관식
    Which of the following is MOST likely to cause a difference between the cash balance shown in a company's ledger and the balance shown on the bank statement at month-end?
  • #2 객관식
    A company’s bank statement shows a balance of $3,070. There is a deposit in transit of $2,400 and two outstanding checks of $500 and $900. What is the adjusted bank balance after reconciliation?
  • #3 객관식
    Which journal entry is required when the bank collects a note receivable of $1,000 on behalf of the company?

학습 가이드 - 플래시카드

기억력을 키우고 노트에서 만든 플래시카드로 핵심 개념을 고정하세요.

  • Bank Reconciliation Basics
    7 질문
  • Bank Reconciliation Adjustments and Journal Entries
    8 질문
  • Internal Control and Fraud Prevention
    4 질문