Multiple choice

Computerised stores accounts may generate item balance different from actual balance because of

  1. pilferage

  2. auctioning stores without recording

  3. non-recording of receipts

  4. all of the above

Reveal answer Fill a bubble to check yourself
D Correct answer
Explanation

Discrepancies between computer records and physical stock can arise from various operational failures, including theft, unrecorded transactions, or administrative errors.