Loading ...

Blob

Smart Reasoning:

C&E

See more*

Qaagi - Book of Why

Causes

Effects

itemscausedifference between the balances as per the bank columns of the cash book and the bank pass book at a particular date

The Bank Reconciliation Itemscausedifferences between bank balance and book balance Items on a bank statement and not recorded by the business

The Bank Reconciliation Items ... : Bank collectionscausedifferences between bank balance and book balance Items on a bank statement and not recorded by the business

Outstanding checks 9 The Bank Reconciliation Itemscausedifferences between bank balance and book balance Items on a bank statement and not recorded by the business

the reasonscausedbalance difference between pass book and cash book , which is seen in bank reconciliation statement

short - peopleinventedbank systems and paper cash ... and a lot later deposit

The common itemscausingthe difference in cash balance as per business record and bank statement

the following itemsare causinga difference between the cash book balance and bank statement balance : ( 1

various reasonsmay causedifferences between the bank balance as per bank statement and the reconciled balance according to TurboCASH

the itemscausedisagreement between the balance as per the bank column of the Cash Book and the bank Pass Book

three reasonscausethe difference between Bank Balances as per Pass Book and Bank Balance as per Cash Book

More Information Any of the following circumstancesmay causea difference between the checkbook balance in Bank Reconciliation and the general ledger cash account

Any of the following circumstancesmay causea difference between the checkbook balance in Bank Reconciliation and the general ledger cash account

Errors or omissions in the cash bookcan leadto a difference between the balance as per bank statement and the balance as per cash book

> Errors in Bank Statement Errors or omissions by the bankcan leadto a difference between the balance as per bank statement and the balance as per cash book

Errors or omissions by the bankcan leadto a difference between the balance as per bank statement and the balance as per cash book

the following itemsare causinga difference between the cash book balance and bank statement balance

The inter - bank marketsdiscoveredthe difference between a USD liability of a bank , and legal tender FRN cash and

this errorwill resultDifference in the balance as per bank book and as per pass book

Similarly ... , the findings will be of pass book balancecomposingbank reconciliation statement with the help of cash book

the itemscausethe difference between cash book and Bank statement

specific examplesmay causedifferences between the cash balance per books and the cash balance per bank

the itemscausethe difference between the passbook balance and the cash book balance

Auditorsdiscovereddiscrepancies in bank deposits that contained cash and money orders

major reasonscausedifference in balances between books of accounts and bank statement

short - peopleinventedbank systems and paper cash

Itemscausedifferences between the bank balance and the book balance

the items that appear on a bank reconciliation allcausedifferences between the bank balance and the book balance

The transactionwill resultin the difference between the balances of cash book and pass book

The transactionwill thus causedifference between the balances of cash book and pass book

some reasonscausethe balance on the bank statement to differ from the cash balance on the books

Which of the following itemswill causea difference between the book balance and the bank balance

to helpdiscoverdifferences between your transaction list and your bank register

The factors mentioned belowcan contributeto the difference in the bank statement and company

The auditordiscoveredthat there was a the cash book and the bank balance

the transactionsare causingthe difference between your Cash Account and Checkbook balance

Read onto discoverwhat 's a bank statement and how to use it

itemscan causedifferences between your book and bank balances

by the following items(passive) is caused byThe difference between the balance of the bank account and the bank statement

various reasonsmay causedifferences between the bank balance ... as per bank statement

This module(passive) has been designedThis module

from the sale of the investmentresultedfrom the sale of the investment

in business visa refusalmay resultin business visa refusal

changes in the general level of pricesmay causechanges in the general level of prices

exciting offers around youdiscoverexciting offers around you

a long - term financial losscould causea long - term financial loss

from the followingoriginatefrom the following

from the following : ( ioriginatefrom the following : ( i

exciting cash received voucherdiscoverexciting cash received voucher

a difference that results in not computing a correct payoffcan causea difference that results in not computing a correct payoff

up an accountto setup an account

the realityto discoverthe reality

Confusion in jurisdiction between payment regulators and bank regulators(passive) may be caused byConfusion in jurisdiction between payment regulators and bank regulators

from timing differencesresultsfrom timing differences

either in a refundwill resulteither in a refund

The confusion(passive) is caused byThe confusion

aside as a buffer against risksmust setaside as a buffer against risks

in added taxes for the seller or reduced tax deductions for the buyercould resultin added taxes for the seller or reduced tax deductions for the buyer

to difference in your monthly and overall car loan expensescan leadto difference in your monthly and overall car loan expenses

to cash skimming , or commercial bribery and kickbackscan leadto cash skimming , or commercial bribery and kickbacks

when the cash flows fromresultswhen the cash flows from

to checkswill leadto checks

towards the construction of a linecontributedtowards the construction of a line

mortgageshad originatedmortgages

it apartsetsit apart

to an investmentcontributedto an investment

in a pending caseload increase of 3.1 %resultedin a pending caseload increase of 3.1 %

2019result2019

in a pending caseload increase of 7.9 %resultedin a pending caseload increase of 7.9 %

in a pending caseload increase of 46.8 %resultedin a pending caseload increase of 46.8 %

in a pending caseload increase of 18.6 %resultedin a pending caseload increase of 18.6 %

1 ] Cash(passive) is composed1 ] Cash

2 ] Cash(passive) is composed2 ] Cash

3 ] Cash(passive) is composed3 ] Cash

in a pending caseload decrease of 1.3 %resultedin a pending caseload decrease of 1.3 %

in a pending caseload decrease of 18.2 %resultedin a pending caseload decrease of 18.2 %

c)???Cash(passive) is composedc)???Cash

in a pending caseload decrease of 20.7 %resultedin a pending caseload decrease of 20.7 %

DE genes(passive) be caused byDE genes

in higher costs of handlingresultedin higher costs of handling

Blob

Smart Reasoning:

C&E

See more*