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The Cash account in the ledger of Hensley, Inc. showed a balance of 53,100 at June 30. The bank statement, however, showed a balance of
The Cash account in the ledger of Hensley, Inc. showed a balance of 53,100 at June 30. The bank statement, however, showed a balance of $3,900 at the same date. The only reconciling items consisted of a $700 deposit in transit, a bank service charge of S7, and a large number of outstanding checks. What is the "adjusted cash balance at June 30 $2.093 $3.500 57,600 2.400 QUESTION 17 The Cash account in the ledger of Hensley, Inc. showed a balance of 53,100 at June 30. The bank statement, however, showed a balance of $3,900 at the same date. The only reconciling itens consisted of a $700 deposit in transit, a bunk service charge of S7, and a large number of outstanding checks What is the total amount of the outstanding checks at June 302 11.507 11.500 11.40 31.513 QUESTION 18 The Cash account in the ledger of Hensley, Inc. showed a balance of 53,100 at June 30. The bank statement, however, showed a balance of 53,900 at the same date. The only reconciling items consisted of a 5700 deposit in transit, a bank service charge of 57, and a large number of outstanding checks. Upon completion of the bank reconciliation, a journal entry will be required to update the depositor's accounting records. This entry will include a: debit to bank service charge expense for 37 debet to cash for debit to cash for 5700 credit to cash for 1700
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