AUDITING+ASSURANCE 12MONTH ACCESS CARD
AUDITING+ASSURANCE 12MONTH ACCESS CARD
17th Edition
ISBN: 9780135635131
Author: ARENS
Publisher: WILEY
Question
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Chapter 23, Problem 21DQP

a.

To determine

Identify the appropriate audit procedures that an auditor should perform to verify each bank transfer.

b.

To determine

Post adjusting journal entry in the home office records.

c.

To determine

Post adjusting journal entry in the branch bank records.

d.

To determine

Identify how each bank transfer should be included in Dec 31, 2019, bank reconciliation statement for home office records.

e.

To determine

Identify how each bank transfer should be included in Dec 31, 2019, bank reconciliation statement for branch bank records.

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