Question on: JAMB Accounting - 2022

In a bank reconciliation statement, Dishonoured cheques is added to

A
unpresented cheques
B
uncredited cheques
C
statement of account
D
aggregate balanace as per cash book
Ask EduPadi AI for a detailed answer
Correct Option: B

In a bank reconciliation statement, Dishonoured cheques are added to 'uncredited cheques.' Therefore, the correct option is 'uncredited cheques.'

Add your answer

Notice: Please post responsibly.

Please share this, thanks!

No responses