Enclosed with the bank statement received by Sunlight Company at March 31 was an NSF check for $600. No entry has yet been made by the company to reflect the bank's action in charging back the NSF check. During preparation of the bank reconciliation, the NSF check should be
A、deducted from the balance per the depositor's records.;
B、deducted from the balance per the bank statement.;
C、added to the balance per the bank statement.;
D、added to the balance per the depositor's records.
发布时间:2025-07-20 14:42:53