题目内容 (请给出正确答案)
[主观题]

仲裁委员会实行专职仲裁员制度。()A.正确B.错误

仲裁委员会实行专职仲裁员制度。()

A.正确

B.错误

查看答案
如搜索结果不匹配,请 联系老师 获取答案
您可能会需要:
您的账号:,可能会需要:
您的账号:
发送账号密码至手机
发送
更多“仲裁委员会实行专职仲裁员制度。()A.正确B.错误”相关的问题

第1题

The bank reconciliation shoudl be prepared by a person other than the cashier.()
点击查看答案

第2题

The following bank reconciliation statement has been prepared by a trainee accountant: $ O
verdraft per bank statement 3,860 Less: Unpresented cheques 9,160 –––––– 5,300 Add: Outstanding lodgements 16,690 –––––– Cash at bank 21,990 –––––– What should be the correct balance per the cash book?

A、$21,990 balance at bank as stated

B、$3,670 balance at bank

C、$11,390 balance at bank

D、$3,670 overdrawn

点击查看答案

第3题

The following bank reconciliation statement has been prepared by a trainee accountant: BAN
K RECONCILIATION 30 SEPTEMBER 20X2 $ Balance per bank statement (overdrawn) 36,840 Add: lodgements credited after date 51,240 88,080 Less: outstanding cheques 43,620 Balance per cash book (credit) 44,460 Assuming the amounts stated for items other than the cash book balance are correct, what should the cash book balance be?

A、$44,460 credit as stated

B、$60,020 credit

C、$29,220 debit

D、$29,220 credit

点击查看答案

第4题

The following bank reconciliation statement has been prepared by a trainee accountant: Overdraft per bank statement 3,860 Less: unpresented cheques 9,160 Add: deposits credited after date 16,690 Cash

A、$21,990 balance at bank as stated

B、$3,670 balance at bank

C、$11,390 balance at bank

D、$3,670 overdrawn

点击查看答案

第5题

A bank reconciliation statement is prepared to analyze the differences between the ending
cash balance on the bank statement and the ending cash balance in the firm's accounting records.

A.正确

B.错误

点击查看答案

第6题

Which of the following statements about bank recon...

Which of the following statements about bank reconciliations are correct? 1 A difference between the cash book and the bankstatement must be corrected by means of a journal entry. 2 In preparing a bank reconciliation, lodgements recorded before date in the cash book but credited by the bank after date should reduce an overdrawn balance in the bank statement. 3 Bank charges not yet entered in the cash book should be dealt with by an adjustment in the bank reconciliation statement. 4 If a cheque received from a customer is dishonoured after date, a credit entry in the cash book is required.

A、A. 2 and 4

B、B. 1 and 4

C、C. 2 and 3

D、D. 1 and 3

点击查看答案
热门考试 全部 >
相关试卷 全部 >
账号:
你好,尊敬的上学吧用户
发送账号至手机
密码将被重置
获取验证码
发送
温馨提示
该问题答案仅针对搜题卡用户开放,请点击购买搜题卡。
马上购买搜题卡
我已购买搜题卡, 登录账号 继续查看答案
重置密码
确认修改
谢谢您的反馈

您认为本题答案有误,我们将认真、仔细核查,
如果您知道正确答案,欢迎您来纠错

警告:系统检测到您的账号存在安全风险

为了保护您的账号安全,请在“上学吧”公众号进行验证,点击“官网服务”-“账号验证”后输入验证码“”完成验证,验证成功后方可继续查看答案!

微信搜一搜
上学吧
点击打开微信
警告:系统检测到您的账号存在安全风险
抱歉,您的账号因涉嫌违反上学吧购买须知被冻结。您可在“上学吧”微信公众号中的“官网服务”-“账号解封申请”申请解封,或联系客服
微信搜一搜
上学吧
点击打开微信