A review of the bank statement and accounting records of Bak
     A review of the bank statement and accounting records of Baker Company revealed the following items: Item No. Description 1) 2) 3) 4) 5) 6) A NSF check written by one of Baker\'s customers. A credit memo refleoting interest revenue earned by Baker. A debit memo showing a bank service charge A certified oheck. Three outstanding checks. A deposit in transit. Which of the item(s) would be added to the unadjusted bank balance to determine the true cash balance? O Item numbers 3 and 6 O item number 5 O item numbers 3. 5, and 6 Item number 6  
  
  Solution
Deposit in transit would be added to the unadjusted bank balance to determine the true cash balance.
Item no 6 is the correct option.

