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I need help in Acct. This is chapter 8 in cengage. 27th Edition. This is one problem. Thanks .61. d' Show Me How Bank Reconciiatlorq
I need help in Acct. This is chapter 8 in cengage. 27th Edition. This is one problem. Thanks
.61. d' Show Me How Bank Reconci\iatlorq and Entries bank statement indicated a balance following reconciling items: a. Checks outstanding totaled $11,520e Calculator b. A deposit of $9,380, representing receiptspf May c, The bank had collected for Brentwood Bik d. A check for $360 returned with the statementad e, A check for $630 returned with the statement had Weehlilr e f. Bank service charges for May amounted to $79. g. A check for $1,140 from Jennings Co. was returned by Instructions: 1. Prepare a bank reconciliation as of May 31. Brentwood Bike Cos Bank Reconciliation May 31 Cash balance according to bank statement Add deposit of May 31, not recorded by bank Add bank error in charginq check as $630 instead of $360 Deduct outstandinq checks Adjusted balance 2 more Check My Work uses rematntng. All work saved. Print Item 9,380 270 9,650 40,960 11,520 | 52,480 ecp Previous Submit for
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