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part A part B 3. The following information for the month of March is available from Butters Cookies, Inc.'s accounting records Balance per bank statement,
part A
3. The following information for the month of March is available from Butters Cookies, Inc.'s accounting records Balance per bank statement, March 31, 2014 $12.100 Cash balance per books, March 31, 2014 15,295 Deposit made on February 28, recorded by bank on March 3 3,600 March 31, 2010, outstanding checks: #2346 438 #2348 231 #2355 107 Bank service charge for March (not recorded yet by Butters) 54 NSF check of customer returned by bank with March statement 832 A check drawn on Moore Company was erroneously charged to 275 Butters A $347 check to a supplier in payment of account was erroneously recorded on Batters' books as $437 2 Deposit made on March 31, recorded by bank on April 3 2,900 b. Prepare any related adjusting entries that are necessary on March 31, 2014. (5 pts) General Journal Debit Credit part B
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