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小果子 发表于 2008-4-12 21:59

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<p>6 Listed below are some possible causes of difference between the cash book balance and the bank statement balance<br/>when preparing a bank reconciliation:<br/>(1) Cheque paid in, subsequently dishonoured.<br/>(2) Error by bank<br/>(3) Bank charges<br/>(4) Lodgements credited after date<br/>(5) Outstanding cheques not yet presented.<br/>Which of these items require an entry in the cash book?<br/>A (1) and (3) only<br/>B (1), (2), (3), (4) and (5)<br/>C (2), (4), and (5) only<br/>D (1), (2) and (3) only</p><p>&nbsp;</p><p>A</p>

wispydog 发表于 2008-5-28 20:28

a

fjj52 发表于 2009-1-15 09:16

X

X

365day 发表于 2009-1-20 14:37

<p>我又来了</p>

guying 发表于 2009-2-25 23:02

b

小狗熊 发表于 2009-5-17 09:13

dd

tonyyuan 发表于 2010-10-29 09:25

A

wlf56578 发表于 2010-11-7 19:27

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lihaohao 发表于 2011-5-13 15:40

b

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