For which of the following will an adjusting entry be required as the result of a bank reconciliation? Naim 07:11 Accounting 2000 Chapter 4 For which of the following will an adjusting entry be required as the result of a bank reconciliation? A. Outstanding checks B. Deposits in transit C. NSF checks D. Bank error Answer: C Learn More : Share this Share on FacebookTweet on TwitterPlus on Google+
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