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Venturi Office Supply Company received a bank statement showing a balance of $67,655 as of March 31, 20X1. The firms records showed a book balance
Venturi Office Supply Company received a bank statement showing a balance of $67,655 as of March 31, 20X1. The firms records showed a book balance of $69,445 on March 31. The difference between the two balances was caused by the following items.
- A debit memorandum for $43, which covers the bank’s collection fee for the note.
- A deposit in transit of $3,350.
- A check for $241 issued by another firm that was mistakenly charged to Venturis account.
- A debit memorandum for an NSF check of $6,100 issued by Wilson Construction Company, a credit customer.
- Outstanding checks: Check 3782 for $1,850; Check 3840 for $144.
- A credit memorandum for a $5,950 noninterest-bearing note receivable that the bank collected for the firm.
Prepare the necessary journal entries
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