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Need to record these in bank reconciliation and general journal. PROBLEM 6-4B On August 2, Northern Motel receives its bank statement (shown on the next
Need to record these in bank reconciliation and general journal.
PROBLEM 6-4B On August 2, Northern Motel receives its bank statement (shown on the next page). The company deposits its receipts in the bank and makes all payments by check. The debit memo for $37 is for an NSF check written by T. R. Royce. Check no. 1617 for $75.50, payable to Mitchel Company (a creditor), was incorrectly recorded in the checkbook and journal as $57.50. The ledger balance of Cash as of July 31 is $1,909.30. Outstanding checks as of July 31 are no. 1631, $118.20; no. 1632, $78.20; and no. 1633, $178.36. The accountant notes that the Jlaly 31 deposit of s630 did not appear on the bank statement. PROBLEM 6-4B On August 2, Northern Motel receives its bank statement (shown on the next page). The company deposits its receipts in the bank and makes all payments by check. The debit memo for $37 is for an NSF check written by T. R. Royce. Check no. 1617 for $75.50, payable to Mitchel Company (a creditor), was incorrectly recorded in the checkbook and journal as $57.50. The ledger balance of Cash as of July 31 is $1,909.30. Outstanding checks as of July 31 are no. 1631, $118.20; no. 1632, $78.20; and no. 1633, $178.36. The accountant notes that the Jlaly 31 deposit of s630 did not appear on the bank statement
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