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Print by: KENYETTE WILLIAMS ACCT 2101-SP18-20502-section IA-online-crews / Homework-Chapter 7 Exercise 7-11 The following information pertains to Merigold Corp 1. Cash balance per bank, July
Print by: KENYETTE WILLIAMS ACCT 2101-SP18-20502-section IA-online-crews / Homework-Chapter 7 Exercise 7-11 The following information pertains to Merigold Corp 1. Cash balance per bank, July 31, $8,183. 2. July bank service charge not recorded by the depesitor $35. 3. Cash balance per books, July 31, $8,204 4. Deposits in transit, July 31, $1,960. S. The bank colected $1,376 in July for Manigold through electronic funds transfer. The collection has not been recorded by Marigold 6. Outstanding checks, July 31, 5598 Prepare a bank reconciliation at July 31.(List items that Increase cash balance first. Reconcile cash balance per bank first. Marigold Corp. niMagoas Corp. (Cretit account oxles are sutomatically eunale he an uing enaien e ru Date Account Titlies and Explanation uly 31 Debit tTorecord the lotion of ants rece ati) July 31 (To record the bank service charge.) Question Attempts: 0 of 5 used
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