Question

Disbursements on the bank transfer schedule should be correctly included in or excluded from year-end bank reconciliations as outstanding cheques. Understating outstanding cheques on the bank reconciliation indicates

A) the possibility of kiting.

B) a cut-off error in the bank account.

C) an understatement of the bank balance.

D) an increase in inherent risks associated with cash.

Answer

This answer is hidden. It contains 90 characters.