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View Policies Current Attempt in Progress The information below relates to the Cash account in the ledger of Crane Company Balance September 1-517180 Cash deposited-564410

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View Policies Current Attempt in Progress The information below relates to the Cash account in the ledger of Crane Company Balance September 1-517180 Cash deposited-564410 Balance September 30-$18.3440 Checks written-563.246 The September bank statement shows a balance of $17362 on September 30 and the follow memorands Debits Collection of $1.962 note plus interest 38 $2.000 NSF check Richard Nance Interest earned on checking account $50 Safety deposit boxrent At September 30. deposits in transit were 54.920, and outstanding checks totaled $2.853 (a) Prepare the bank reconciliation at September 30. list items that increasesh balance first) CRANE COMPANY Bank Reconciliation Textbook and Media List of Accounts Attempts unlimited Submit Answer Surat The information below relates to the Cash account in the ledger of Crane Company Balance September 1-$17.180. Cash deposited-$64.410. Balance September 30-$18,344 Checks written-$63,246. The September bank statement shows a balance of $17,362 on Septe Following memoranda. Credits Collection of $1.962 note plus interest $38 $2.000 NSF check Richard Nance $895 Interest earned on checking account 353 Safety deposit boerent $73 At September 30, deposits in transit were $4.920 and outstanding checks totaled $2.853 (b) Prepare the adjusting entries at September 30, assuming (1) the NSF check was from a customer on account, and (2) no interest had been accrued on the note. (Credit account titles are automatically indented when amount is entered. Do not indent manually.) No. Account Titles and Explanation Debit Credit Sept. 30 (To record note receivable) Sept. 30 (To record interest eared.) Sept. 30 (To record NSF check.) Sept. 30 (To record safety deposit rent.) e Textbook and Media List of Accounts save for Later Attempts: unlimited Submit

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