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Prepare a bank reconciliation for Big Bear and complete required journal entries. Big Bear Ltd. had the following information available to complete the October 2020
Prepare a bank reconciliation for Big Bear and complete required journal entries. Big Bear Ltd. had the following information available to complete the October 2020 bank reconciliation: - The bank statement had a balance of 57,885 - The general ledger cash account had a balance of 58,738 - A bank deposit on October 31" for $1,772 does not appear on the bank statement Cheques #25 for $980 and #30 for $374, both written in October had not cleared the bank - Bank service charges for the month were 32. There was also an NSF cheque for $450. The account earned interest of 547 Required: Prepare a bank reconciliation for Big Bear and complete the required journal entries Big Bear Lid Bank Reconciliation October 31, 2020 Journal Entries: Date Account title and description Debit Credit
Prepare a bank reconciliation for Big Bear and complete required journal entries.
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