estion 8 yet wered rked out of Bank Muscat collected OMR 5,000 from the customer of Nizwa Company but the company has no
Posted: Tue Nov 16, 2021 8:52 am
Company but the company has not yet recorded a debit to cash in its ledger, how is this presented in the Bank Reconciliation Statement adjusted balance method? Flag estion O a. As a book reconciling item and added to unadjusted book balance O b. As a bank reconciling item and deducted from the unadjusted bank balance Ос. As a bank reconciling item and added to the unadjusted bank balance od. As a book reconciling item and deducted from the unadjusted book balance
estion 8 yet wered rked out of Bank Muscat collected OMR 5,000 from the customer of Nizwa