To arrive at an accurate balance on a bank reconciliationstatement a service charge should be:A. added to the bank statement balance.B. added to the book balance.C. deducted from the bank statement balance.D. deducted from the book balance.To arrive at an accurate balance on a bank reconciliationstatement a debit memorandum for a customer check marked NSFshould be:A. added to the bank statement balance.B. added to the book balance.C. deducted from the bank statement balance.D. deducted from the book balance.The entry in a firms accounting records for a credit customerscheck that was returned by the bank marked NSF would include adebit to __________ and a credit to __________.A. Miscellaneous Expense; CashB. Accounts Receivable; Accounts PayableC. Accounts Receivable; CashD. Cash; Accounts Receivable