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McDermott Company's bank statement for September 30 showed an ending cash balance of $1,630. The company's Cash account in its general ledger showed a $1,295

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McDermott Company's bank statement for September 30 showed an ending cash balance of $1,630. The company's Cash account in its general ledger showed a $1,295 debit balance. The following information was also available as of September 30. The bank deducted $225 for an NSF check from a customer deposited on September 15. The September 30 cash receipts, $1,450, were placed in the bank's night depository after banking hours on that date and this amount did not appear on the September 30 bank statement A $35 debit memorandum for checks printed by the bank was included with the canceled checks. Outstanding checks amounted to $1,445. Included with the bank statement was a credit memo in the amount of $975 for an EFT In payment of a customer's account Included with the canceled checks was a check for $375, drawn on the account of another company. Required: a. Prepare a bank reconciliation as of September 30. b. Prepare the journal entries for the Items on the company's bank reconeMation as of September 30. Complete this question by entering your answers in the tabs below. Required A Required B Prepare a bank reconciliation as of September 30. Required A Required B Prepare a bank reconciliation as of September 30. McDormott Company Bank Reconclllation At September 30 Updates to Company's Books Ending Cash Balance per Books Additions: Updates to Bank Statement Ending Cash Balanco por Bank Statement Additions: 0 0 $ $ $ $ 0 0 Deductions: Doductions: 0 $ S 0 Up-to-date ending cash balance Up-to-date ending cash balance Required B Required View transaction list Journal entry worksheet 1 2 3 Record a credit memo in the amount of $975 for an EFT in payment of a customer's account Note: Enter debits before credits. Dato Goneral Journal Debit Credit Sep 30 Clear entry Record entry View general Journal Journal entry worksheet Record the amount of $225 for an NSF check from a customer deposited on september 15. Note: Enter debits before credi : General Journal Debit Credit Date Sep 30 Record entry Clear entry View general Journal View transaction list Journal entry worksheet

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