每日一练F3 答案回复可见
<p>The following bank reconciliation statement has been prepared by an inexperienced bookkeeper at 31 December<br/>2005.<br/> Bank reconciliation statement<br/> $<br/>Balance per bank statement (overdrawn) 38,640<br/>Add: lodgements not credited 19,270<br/> –––––––<br/> 57,910<br/>Less: unpresented cheques 14,260<br/> –––––––<br/>Balance per cash book 43,650<br/> –––––––<br/>What should the final cash book balance be when all the above items have been properly dealt with?<br/>A $43,650 overdrawn<br/>B $33,630 overdrawn<br/>C $5,110 overdrawn<br/>D $72,170 overdrawn</p><p>B 38,640 + 14,260 – 19,270 = 33,630</p>页:
[1]