12 mm) Josnica Corp. used the following information in recording it bank reconcilition for the month of July Balance per
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12 mm) Josnica Corp. used the following information in recording it bank reconcilition for the month of July Balance per
12 mm) Josnica Corp. used the following information in recording it bank reconcilition for the month of July Balance per books July 31 $ 25,312 Balance per bank statement July 31 $ 26,772 (1) Checks written in July but still outstanding $3,650. Deposits of July 31 not yet recorded by bank $2,820. Check No. 705 for $350 was correctly issued and paid by bank but was recorded as $530 in the cash payments journal. Bank commission charge for July was $82. (5) The bank collected a note receivable for the company of $1,600 plus $117 interest revenue. (6) NSF check of customer returned by bank $285. (7) Jessica deposited $2,150 into the bank and properly recorded it in Cash at Bank accounts but the bank credited this amount for only $1.250. Instructions Prepare a bank reconciliation at July 31.
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