MCQs > Finance & Management > Bookkeeping > The correct journal entry to reconcile an NSF check returned by the bank is:

Bookkeeping MCQs

The correct journal entry to reconcile an NSF check returned by the bank is:

Answer

Correct Answer: Debit Accounts Receivable, Credit Cash

Explanation:

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Bookkeeping Skill Assessment

Overall Skill Level-Poor

Your Skill Level: Poor

Retake Quizzes to improve it