Prepare a bank reconciliation from the following information: LO 2 Bank Reconciliation a. Balance per bank statement
Question:
Prepare a bank reconciliation from the following information:
LO 2 Bank Reconciliation
a. Balance per bank statement as of May 31, 4,227.27
b. Balance per books as of May 31, 3,069.02
c. Deposits in transit, 567.21
d. Outstanding cheques, \(1,727.96\)
e. Bank service charge, 2.50
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Related Book For
Financial Accounting A Global Approach
ISBN: 9780395839867
1st Edition
Authors: Sidney J. Gray, Belverd E. Needles
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