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按照我国建筑法的规定,施工现场安全由()负责。.A.施工单位B.监理单位和施工单位共同

按照我国建筑法的规定,施工现场安全由()负责。.

A.施工单位

B.监理单位和施工单位共同

C.建设单位、监理单位和施工单位共同

D.建设单位

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第1题

The ending bank statement balance at November 30 is $6,750. The bank statement shows a service charge of $95, electronic funds receipts of $500 and a NSF check for $350. Deposits in transit total $2,0

A.$6,750

B.$6,805

C.$6,965

D.$7,105

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第2题

While preparing a bank reconciliation, an accountant discovered that a $382 check retu

A.A.Add $54 to the balance per the depositor’s records.

B.B.Add $54 to the balance per the bank statement.

C.C.Deduct $54 from the balance per the bank statement.

D.D.Deduct $54 from the balance per the depositor’s records.

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第3题

Which of the following reconciliation is performed by comparing the internal documents with the external documents?

A、Bank reconciliation

B、Supplier reconciliation

C、Sales ledger control account reconciliation

D、Purchase ledger control account reconciliation

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第4题

In preparing bank reconciliation, the amount of outstanding checks is added to the ba
lance per bank statement.()

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第5题

The ending bank statement balance at November 30 is $6,750. The bank statement shows a ser
vice charge of $95, electronic funds receipts of $500 and a NSF check for $350. Deposits in transit total $2,050 and outstanding checks are $1,835. The balance per books at November 30 is $6,910. What is the adjusted book balance at November 30?

A.$6,750

B.$6,805

C.$6,965

D.$7,105

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第6题

Deposits in transit would not appear on a company’s bank reconciliation but would appear on the company’s bank statement.()
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第7题

After preparing a bank reconciliation, adjustments must be made for items reconciling the bank balance and items reconciling the book balance.
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第8题

A bank reconciliation should be prepared periodically because ()A. the depositor's

A bank reconciliation should be prepared periodically because ()

A. the depositor's records and the bank's records are in agreement

B. the bank has not recorded all of its transactions

C. any differences between the depositor's records and the bank's records should be determined, and any errors made by either party should be

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