题目详情
单选题 Aarti preparing her bank reconciliation at the end of ly. Having adjusted for all unrecorded differences the cash book shows' a revised balance of$1,889 Cr. Aarti has also identified that adjustment is required in the bank reconciliation for the following items: 1 The bank has accidentally charged Aarti an overdraft arrangement fee of$50 which relates to another customer. 2 Aarti received a cheque for $78 from a customer on 31 July and paid it into the bank immediately but it has not yet appeared on the bank statement, 3 A cheque paid to a supplier for $900 remains unpresented. What balance was shown on Aarti's bank statement at31 July
A. $2,661 Cr
B. $1,117Cr
C. $2,661 Dr
D. $1,117Cr

学科:默认课程
时间:2025-12-02 22:58:36
相关题目
相关作业
