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【简答题】
某企业 2007 年 10 月 31 日 的银行存款日记账账面余额为 690000 元,而银行对账单上企业存款余额为 680000 元,经逐笔核对,发现有以下未达账项: 1 、 10 月 26 日 企业开出转账支票 2000 元,持票人尚未到银行办理转账,银行尚未登帐。 2 、 10 月 28 日 企业委托银行代收款项 3000 元,银行已收款入账,但企业为接行未登帐。 3 、 10 月 29 日 银行代企业支付水电费 1000 元,企业尚未接到银行的付款通知。 4 、 10 月 30 日 ,企业送存购货单位签发的转账支票 14000 元,企业已登帐,银行为登帐。 要求:根据以上有关内容,编制“银行存款余额调节表”并分析调节后是否需要编制有计分录。 银行存款余额调节表 1 年 月 日 单位:元 项 目 金 额 项 目 金 额 企业银行存款日记账余额 2 银行对账单余额 3 加:银行已收、企业未收 4 加:企业已收、银行未收 6 减:银行已付,企业未付 5 减:企业已付,银行未付 7 调节后余额 8 调节后余额 9
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【简答题】Look at the above office layout . Mary is at the company gate. Please tell her how to find Mike and Jack in the office。
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