Which of the following statements about bank reconciliations are correct? 1 In preparing a bank reconciliation, unpresented cheques must be deducted from a balance of cash at bank shown in the bank statement. 2 A cheque from a customer paid into the bank but dishonoured must be corrected by making a debit entry in the cash book. 3 An error by the bank must be corrected by an entry in the cash book. 4 An overdraft is a debit balance in the bank statement. A 1 and 3 B 2 and 3 C 1 and 4 D 2 and 4 C
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