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Bank Reconciliation and Related Journal Entries The book balance in the checkng accoumt of Kyn Enterprises as of November 30 is $2,930. The bank stasement
Bank Reconciliation and Related Journal Entries
The book balance in the checkng accoumt of Kyn Enterprises as of November 30 is $2,930. The bank stasement stions an ending batance of $2, 501 . The following iniomation a dicovered by (3) comparing last month's deposits in transit and outstanding checks wth this month's bank statement (2) comparng deposits and checks whitten per books and per burk in the cunent monet araf (2) noting service charges and other debit and credt memos shown on the bank stasement Finds were whituinan by Susan kyn for personar ise Required: 1 Prepare a banik seconcition as of Morember 30 >0. 2. Thepare the requird mumal entina 2 more Check My Work woses reflerung 1. Prepare a bank reconcitation as of Nowembier 30, 20- 8 (tabert) 4 10 11 12 Adjusted bank belance 13 14 Book balance, November 30 13 (babel) 16 1) 18 (labet) 19 29 21 22 Adjusted book batarice GENFRAL JOUPQAL D.IE Accossir ime 1 7 i. 4 5 6 7 Step by Step Solution
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