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Question(s) / Instruction(s):

A check drawn by a company in payment of a voucher for $635 was recorded in the journal as $365.  This item would be included in the bank reconciliation as a(n)

a)            addition to the balance per the companys records

b)            addition to the balance per the bank statement

c)            deduction from the balance per the bank statement

d)            deduction from the balance per the companys records

 

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