Asked by Patti Raether on Jun 30, 2024

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NSF cheques received are accounted for by adding them to the cash balance per books.

NSF Cheques

Checks that cannot be processed because the drawer’s account lacks sufficient funds, standing for "Non-Sufficient Funds".

  • Comprehend the impact of inaccuracies and deceit on financial reports and distinguish between these two concepts.
  • Comprehend the procedure and objective of bank reconciliations in overseeing cash balances.
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ZK
Zybrea Knight

Jul 07, 2024

Final Answer :
False
Explanation :
NSF (Non-Sufficient Funds) cheques are accounted for by deducting them from the cash balance per books because they represent amounts that were previously recorded as cash receipts but have been returned by the bank due to insufficient funds in the payer's account.