When starting with the cash book balance in pre... - JAMB Accounting 2017 Question
When starting with the cash book balance in preparing the bank reconciliation statement, the followings are added
A
Unpresented cheque
B
Dividend
C
Uncredited cheque
D
credit transfer
correct option: c
Uncredited cheque have to be less when starting with balance as per cashbook not add because the cheque are yet to be credited by the bank
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