Question
OBJ.5 5 PE 8-3A Bank Reconciliation The Following Data Were Gathered To Use In Reconciling The Bank Account Of Donovan Company Balance Per Bank $14,385
OBJ.5 5 PE 8-3A Bank Reconciliation The Following Data Were Gathered To Use In Reconciling The Bank Account Of Donovan Company Balance Per Bank $14,385 Balance Per Company Records 11,200 Bank Service Charges 60 Deposit In Transit 2,125 NSF Check 1,480 Outstanding Checks 6,850 A. What Is The Adjusted Balance On The Bank Reconciliation? B. Journalize Any
8-3A Bank Reconciliation
OBJ.5 5 PE 8-3A Bank Reconciliation The Following Data Were Gathered To Use In Reconciling The Bank Account Of Donovan Company Balance Per Bank $14,385 Balance Per Company Records 11,200 Bank Service Charges 60 Deposit In Transit 2,125 NSF Check 1,480 Outstanding Checks 6,850 A. What Is The Adjusted Balance On The Bank Reconciliation? B. Journalize Any
8-3A Bank Reconciliation
5 PE 8-3A Bank reconciliation OBJ.5 The following data were gathered to use in reconciling the bank account of Donovan Company: Balance per bank Balance per company records Bank service charges Deposit in transit NSF check Outstanding checks a. What is the adjusted balance on the bank reconciliation? $14,385 11,200 60 2,125 1,480 6,850 b. Journalize any necessary entries for Donovan Company based on the bank reconciliation.
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