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15 October, 09:33

On its bank reconciliation for the month of December, Pack Corp, noted that it had made an accounting eror It recorded the cash receipt from a sale to a customer as $48 instead of the actual amount of $84 Question: In Pack Corp 's month-end journal entry to record this reconciling item, which of the following is true? Select one O a The Sales Revenue account should be debited for $18 O b The Saes Revenue" account shouid be credited for $18 O c. The Accounts Receivable account should be debited for $18 O d. The Accounts Receivable' account should be credited for $18. O e. The Accounts Payable account should be credited for $18 O f. The Accounts Payable" account should be debited for $18

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  1. 15 October, 11:59
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    The right treatment will beCash Account will be debited 36$Sales Revenue A/c will be credited 36 $

    Explanation:

    Because this is th case of rectification of undercast

    So the same account will be debited and credited with the difference

    which is less recorded
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