Question

What journal entry must be prepared when the company is notified by the bank that a customer's check that had been deposited in the amount of $776 was returned NSF?

A) Debit Accounts Receivable and credit Cash in the amount of $776

B) Debit Cash and credit Accounts Receivable in the amount of $776

C) Debit NSF Check Expense and credit Accounts Receivable in the amount of $776

D) No journal entry is necessary.

Answer

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