Which of the following would you add to the balance per general ledger to arrive at the reconciled cash balance in a bank reconciliation? Select one: A. Deposits in transit B. Bank service charge C. ""NSF"" checks D. Collection of a note by bank

Respuesta :

Answer:

C. ""NSF"" checks

Explanation:

Reconciling items are either transactions that have been recorded by the bank but yet to be recorded in the books or transactions recorded in the books but yet to be recognized in the bank statement. As such, to reconcile the bank and book balances, these items are either recognized or derecognized in the books.

Deposits in transit  would be subtracted from the books to get the bank balance.

Bank service charge would also be deducted from the books to get the bank balance.

NSF"" checks would be added as it would have been initially deducted from the books but the banks would have refused such check on the basis of insufficient funds.

Collection of a note by bank  will be added to the book balance

ACCESS MORE