Вопросы по дисциплине:
Финансовая отчетность предприятия
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№ | Вопрос | Действия |
---|---|---|
181 | Bank reconciliation statement compares a bank statement with _________ | Открыть |
182 | What is “Deposit in transit” in bank reconciliation? | Открыть |
183 | NSF’ marked in cheque sent back by the bank indicates | Открыть |
184 | Bank reconciliation description is composed of | Открыть |
185 | An unadjusted balance in cash book is because of the result of which error? | Открыть |
186 | Unpresented cheques also referred to as | Открыть |
187 | In cash book, bank charges of ₹5,000 was not recorded. Name the correct cash book adjustment | Открыть |
188 | What type of cheques is that which is issued by a firm but not yet presented to the bank | Открыть |
189 | ……………system of book keeping is the only scientific method to record farmingtransaction. | Открыть |
190 | In single entry system it’s difficult to detect | Открыть |