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gizmo_the_mogwai [7]
3 years ago
5

In the equation below, variables X and Y represent two matrices. Which property of matrix addition is illustrated below? x+y=y+x

Mathematics
2 answers:
saw5 [17]3 years ago
3 0
If [x] and [y] are matrices and
[x]+[y] = [y]+[x], then

(a) the matrices have the same number of rows and columns,
(b) the operation of matrix addition is commutative.

Answer: commutative
Anastasy [175]3 years ago
3 0

Answer:

Matrix addition is commutative.

Step-by-step explanation:

We know that if there are two matrices X and Y of same order(i.e. same number of the rows and columns) then the addition between the two matrix is commutative i.e.

X+Y=Y+X.

While in case of multiplication of two matrices commutativity may or may not hold true.



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a) The preparation of the bank reconciliation statement on August 31 for Cullumber Company is as follows:

<h3>Bank Reconciliation Statement</h3>

Balance as per bank statement            $16,780

Add uncredited deposits of 17,220

       Check #705 overstated                         36

Less uncashed checks                            (5,780)

Adjusted bank statement balance of $28,256

b) The preparation of the necessary adjusting entries on August 31 is as follows:

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Credit Accounts Receivable (EFT deposits) $2,050

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<h3>What is bank reconciliation?</h3>

Bank reconciliation is the comparison of an entity's records with those of its bank, to uncover any differences between these two sets of records of bank transactions.

Bank reconciliation is carried out by the preparation of a bank reconciliation statement, which outlines the deposits, withdrawals, and other activities affecting a bank account for a specific period.

<h3>Data and Calculations:</h3>

Cash balance per books on August 31, 2021 = $26,420

Bank statement balance = $16,780

<h3>Analysis of Discrepancies:</h3>

1. Uncredited deposit = $17,220

2. EFT deposits = $2,050

3. Outstanding checks:
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Total outstanding checks = $5,780 ($1,230 + $2,330 + $2,220)

4. NSF charge = $187

Service charge = $10

5. Bank service charges = $27

6. Check #705 overstated = $36 ($173 - $137)

<h3>Adjusted Cash Account:</h3>

Balance as per Cash Book        $26,420

EFT deposits                                $2,050

Less:

NSF charge                 187

Bank service charges 27                (214)

Adjusted cash book balance $28,256

Learn more about bank reconciliation statements at brainly.com/question/15525383

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