Posted: September 5th, 2023
Utah State University – College of East ACCT 2010 When reconciling the ending cash balance per the company
When reconciling the ending cash balance per the company records to the correct adjusted cash balance, how would outstanding checks be handled?Outstanding checks ignoredAdded to the balance per the company recordsEither Outstanding checks ignored or Added to the balance per the company records depending on the nature of the outstanding checksSubtracted from the balance per the company records
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