题目内容
(请给出正确答案)
[判断题]
The first step in a bank reconciliation is to update the depositor's accounting re
提问人:网友后慧珍
发布时间:2022-04-06
A、Bank reconciliation
B、Supplier reconciliation
C、Sales ledger control account reconciliation
D、Purchase ledger control account reconciliation
A bank reconciliation should be prepared periodically because ()
A. the depositor's records and the bank's records are in agreement
B. the bank has not recorded all of its transactions
C. any differences between the depositor's records and the bank's records should be determined, and any errors made by either party should be
A.Depositsintransit
B.Bankservicecharges
C.EFTcashreceipts
D.Outstandingchecks
为了保护您的账号安全,请在“简答题”公众号进行验证,点击“官网服务”-“账号验证”后输入验证码“”完成验证,验证成功后方可继续查看答案!