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Question 23 Bank Reconciliation The following data were gathered to use in reconciling the bank account of Photo Op. Company: Balance per bank $ 18,850

Question 23

Bank Reconciliation

The following data were gathered to use in reconciling the bank account of Photo Op. Company:

Balance per bank $ 18,850
Balance per company records 9,170
Bank service charges 20
Deposit in transit 2,600
Note collected by bank with $150 interest 5,200
Outstanding checks 7,100

Question Content Area

a. What is the adjusted balance on the bank reconciliation? $fill in the blank 7c1d3306203ffd8_1

Question Content Area

b. Journalize any necessary entries for Photo Op. Company based on the bank reconciliation. If an amount box does not require an entry, leave it blank.

blank Accounts PayableAccounts ReceivableCash Short and OverCashMiscellaneous Expense - Select - - Select -
Accounts PayableAccounts ReceivableCash Short and OverCashMiscellaneous Expense - Select - - Select -
Accounts PayableAccounts ReceivableCash Short and OverCashMiscellaneous Expense - Select - - Select -
Accounts PayableAccounts ReceivableCash Short and OverCashNotes Receivable - Select - - Select -
Accounts PayableAccounts ReceivableCash Short and OverCashInterest Revenue - Select - - Select -

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