会计英语选择题

更新时间:2023-06-13 02:29:02 阅读: 评论:0

1、which is the following statements is fal ?
①A. the partnership form of business organization protects the personal asnts of the owners form creditor of the business
西北大学专科A. Increas in asts and Increas in revenues are recorded with a debit
③ C.the ledger is a chronological listing of all transactions
计算机英语词汇
2、The primary objective of financial
C. To provide information uful for investment and lending decisions
回复的英文3、 The principle or concept that holds an entity will remain in operation for the foreeable future is the ...
A.  Goning-concern concept
4、which is the following statements is true ?
B.  Asts are economic resources that are expect to benefit future periods
5、Aftin Co.performed rvices on account . When Aftin collects the account receivable ...
B.  Asts do not change
6、which is the following  transaction would not affect owner's equity?
A.  Payment of an account payable
7、An income
D.  The difference between revenues and expen during the period
8、If  asnts increa $80000 during the period and owners’ equity decreas $16000during the period , liabilities must have ...
B . incread $96000
9、if net income was $1500 and there no withdrawals, how much did the owner in vest?
A . $4500
10、The amount of net income shown on the income statement also
C.  Statement of owners’ equity
11、which of the is an example of an ast account?
C.  Suppliesassignedto
12、 Traylor company paid $2850 on account. The effect of this transaction accounting equation is to..
D.decrea asts and decrea liabilities
13、note payable has a normal beginning balance of $30000. During the period,new borrowing total $63000 and the balance in  note payable is $41000. Determine the on loans during
B.$5200
14、which of the accounts has a normal debit balance?
D.both A and B have a normal debit balance
15、The journal entry to record the collection of $890 form a customer on account is..
    B. cash 890
          Accounts receivable 890
18、the ending cash account balance is $57600. During the period,cash receipts equal$124300.if the cash payments during the period total $135100,then the beginn
四月英文ing cash amount must have ...pjm
  A. $68400【135100-124300+57600】
19、U the following lected information for the Alecia Company the correct cresit column total for a trial balance..
      C.$265000
20、which of the statements is  同事用英语怎么说correct?
      D. Both B and C are correct
21、When should revenue be recorded under the accrual-basis and
      D. accrual-basis(when the rvice is performed) cash-basis (when received)
thepromi22、During 20*4,Bustamante Co,incurred salary expen of $240000,beginning and ending salary Payable was $4000 and $8000, respectively.in 20*4,bustamante paid salaries of ..
      C. $236000
20、During 20*4,Bustamante received $600000 for rvice revenue.Bustamante has not received $30000 for rvices already performed in 20*4.Bustamante also invested $20000 into the business.Bustamante should report rvice revenue for 20*4 of ...
      D. $630000
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21、Recording an expen when it is paid instead of when incurred is a violation of ..
      A. The matching principle
22、On july31,$3600 is paid for a one-year insurance policy. On December31, the adjusting entry for prepaid insurance
      C. a debit to Insurance Expen,$1500
23、Failure to record an adjusting entry for an accrued expen,will result in the following ...
      B. Liabilities-understate,net income-overstate
24、An adjusting entry could contain all of the
      B. a credit of cashc语言培训班
25、which is the following statements best describes the purpo of internal control?
      A. To provide assurance that the entire business operates in accordance with managementa plans and policies
26、Note and interest collected by the bank for the company,$500 (plus$25 interest ..)
      A. Add to the book balance
27、Deposit in transit,$
      B. Add to the book balance
28、Check NO.662 for which should have been written for $730 was incorrectly receiable by the bank as $
      C. deduct from the book balance
29、If a bank reconciliation includes an NSF check for $45,the journal entry to this reconciling item
      A. Credit to cash
30、All of the following are controls over cash received in a store except...

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