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标题: 每日一练F3 答案回复可见 [打印本页]

作者: 小果子    时间: 2008-4-13 14:35     标题: 每日一练F3 答案回复可见

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

 

A


作者: karenljl    时间: 2008-4-17 15:17

A
作者: zz009    时间: 2009-10-23 14:11

b
作者: cc12345678    时间: 2009-10-23 15:48

a
作者: Tophigh    时间: 2009-10-25 11:25

a
作者: suelaura    时间: 2009-10-25 13:41

b


作者: tonyyuan    时间: 2010-11-10 09:06

A




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