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SK FS 2

SK FS 2

Assessment

Presentation

Professional Development

KG

Practice Problem

Hard

Created by

tani Bai

Used 3+ times

FREE Resource

0 Slides • 6 Questions

1

Multiple Choice

This statement/report is used to provide additional information about liabilities and some non-cash assets such as receivables, supplies and materials, and property and equipment.

1

a.     Bank Reconciliation Statement (BRS)

2

b.     Statement of Comparison of Budget and Actual Amounts (SCBAA)

3

c.     Notes to Financial Statements (NFS)

4

d.     Report of Accountability for Accountable Forms (RAAF)

2

Multiple Choice

The Report of Accountability for Accountable Forms (RAAF) should be prepared by:

1

a.     SK Treasurer

2

b.     Budget Monitoring Officer

3

c.     COA Auditor

4

d.     SK Chairperson

3

Multiple Choice

In preparation of Bank Reconciliation Statement, the overstatement of recorded checks issued will cause the cash balance to be __________

1

a.     Overstated

2

b.     Understated

3

c.     Either overstated or understated

4

d.     Neither overstated or understated

4

Multiple Choice

The SK Treasurer shall post the Quarterly Statement of Receipts and Payments in the barangay bulletin board and in at least __________ conspicuous places within the jurisdiction of the barangay, and if possible, include the use of traditional and non-traditional media.

1

2

2

3

3

4

4

5

5

Multiple Choice

Failure on the part of the SK official concerned to submit the documents and reports mentioned herein shall automatically cause:

1

a.     the suspension of SK official until he/she shall have complied with the requirements of COA

2

b.     the suspension of the entire SK until they have complied with the requirements of COA

3

c.     the removal of SK official concerned until he/she have complied with the requirements of COA

4

d.     the suspension of payment of any amount due them until they have complied with the requirements of COA

 

6

Poll

Kaya pa?

Yes. Konteng Kembot na lang

Hindi na. :'(

OO naman. mga mahihinang nilalang

No choice

This statement/report is used to provide additional information about liabilities and some non-cash assets such as receivables, supplies and materials, and property and equipment.

1

a.     Bank Reconciliation Statement (BRS)

2

b.     Statement of Comparison of Budget and Actual Amounts (SCBAA)

3

c.     Notes to Financial Statements (NFS)

4

d.     Report of Accountability for Accountable Forms (RAAF)

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MULTIPLE CHOICE