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小果子 发表于 2008-4-12 21:57

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<p>The following bank reconciliation statement has been prepared by a trainee accountant:<br/>Bank reconciliation 30 September 2002<br/>$<br/>Balance per bank statement (overdrawn) 36,840<br/>add: Lodgements credited after date 51,240<br/>88,080<br/>less: Outstanding cheques 43,620<br/>Balance per cash book (credit) 44,460<br/>Assuming the amounts stated for items other than the cash book balance are correct, what should the cash book<br/>balance be?<br/>A $44,460 credit as stated<br/>B $60,020 credit<br/>C $29,220 debit<br/>D $29,220 credit</p><p>&nbsp;</p><p>D –$36,840 + $51,240 – $43,620 = $29,220 overdrawn</p>

wispydog 发表于 2008-5-28 20:26

d

fjj52 发表于 2009-1-15 09:15

X

X

365day 发表于 2009-1-20 14:30

<p>我又来了</p>

guying 发表于 2009-2-25 22:51

a

小狗熊 发表于 2009-5-17 09:14

dd

桐桐 发表于 2011-4-24 20:46

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