A customer's check for $1,270 was returned for nonsufficient funds. Which of the following journal entries is needed to adjust for the NSF check?

A)
Accounts Receivable 1,270
Cash 1,270

B)
Cash 1,270
Sales Revenue 1,270

C)
NSF Check 1,270
Cash 1,270

D)
Accounts Payable 1,270
Cash 1,270

A

Business

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