Question
Prepare Bank Reconciliation Hayley Company's September 30 bank statement shows a balance of $53,810. Hayley's September 30 cash balance is $45,800. Hayley also has the
Prepare Bank Reconciliation
Hayley Company's September 30 bank statement shows a balance of $53,810. Hayley's September 30 cash balance is $45,800. Hayley also has the following information: Deposits made but not appearing on the September bank statement, $5,500. Check written but not appearing on the September bank statement, $12,200. One check written for the purchase of Supplies was erroneously recorded for $890 but appears on the bank statement at $980. Monthly service charges listed on the bank statement are $230. Hayley had already recorded the effect of $130 of those charges. A customer payment for a $1,500 receivable was collected by the bank but not yet recorded by Hayley.
Required: Hide Prepare Hayley's bank reconciliation as of September 30.
Prepare any necessary journal entries resulting from the reconciliation.
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