EXERCISE 7-29 The following data were gathered to use in reconciling the bank st
ID: 2363505 • Letter: E
Question
EXERCISE 7-29
The following data were gathered to use in reconciling the bank statement of Build-A-Lot:
Balance per Bank $14,355
Balance per company record $14,010
Bank Service Charges $80
Deposits in transit $4,100
NSF checks $775
Outstanding Checks $ 5,300
Required:
(1) What is the adjusted balance on the bank reconciliation?
$
(2) Journalize any necessary entries for Build-A-Lot based on the bank reconciliation.
-Select-
Petty Cash, Accounts Payable, Accounts Receivable, Cash Short and Over Cash
-Select-
Petty Cash, Miscellaneous Expense, Cash Short and Over Cash, Sales
-Select-
Accounts Receivable, Miscellaneous Expense, Cash Short and Over Cash, Petty Cash
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