Your question is Handling Discrepancies Under Pressure. Take a moment with it on the right.
Talk me through your thinking if you like. When you're confident, submit your answer and I'll grade it like a real screen (7/10 or better passes).
How do you deal with pressure, and how would you identify a discrepancy between several check deposits and a bank statement, record the journal entry for a returned check, and apply the double-entry system?