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You are reconciling your Payables the Receivables balances against the General Ledger.You are using the Payables to Ledger Reconciliation report. You notice discrepancies between thebalances in the subledgers, subledger accounting, and general ledger. Which three factors are responsible for these out-of-balance situations?A. All sub ledger transactions have been entered but do not have complete accounting.B. Subledger transactions have been accounted and transferred to General Ledger but have not been posted.C. There were manually entered journals against the Payables and Receivables accounts that were posted in General Ledger.D. Intercompany transactions have not been fully processed.E. Period Close processes, such as Revaluation, Translation, and Consolidation have not been performed yet
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