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Bank reconciliation and entries . The following information was taken from the accounting records of Palmetto Company for the month of January: Balance per bank
Bank reconciliation and entries. The following information was taken from the accounting records of Palmetto Company for the month of January:
Balance per bank | $6,252 |
Balance per company records | 3,580 |
Bank service charge for January | 20 |
Deposits in transit | 940 |
Interest on note collected by bank | 100 |
Note collected by bank | 1,102 |
NSF check returned by the bank with the bank statement | 650 |
Outstanding checks | 3,080 |
Prepare Palmetto's January bank reconciliation.
Prepare any necessary journal entries for Palmetto.
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