Prepare journal entries for x c Accounting question l Che x Wiley PLUS C edugen.
ID: 2444582 • Letter: P
Question
Prepare journal entries for x c Accounting question l Che x Wiley PLUS C edugen.wileyplus.com/edugen/student/mainfr.uni Apps D Normal probability... DS F-value Calculator D Login Page Wiley P... InformationNow Book Companion Si teachingasleadershi... VVITEyTLOS Kieso, Intermediate Accounting, 15e Home Read, Study & Practice deb ORION Assignment Assignment Open Assignment Brief Exercise 7-16 Horton Corporation is preparing a bank reconciliation and has identified the following potential reconciling items. (a) Deposit in transit $6,348 (b) Bank service charges $36. (c) Interest credited to Horton's account $47 (d) Outstanding checks $7,679. (e) NSI check returned $476 ke Hort (If required, ect "No Entry" f Prep plet automatically indented when the amount is entered. Do not indent manually.) No. Account Titles and Explanation click if you would like to show work for this question: open show work License Agreement Privacy Policy I G 2000-2015 ohn Wiley & Sons Inc. All Rights Reserved. A Division of John Wiley & Sons Inc. INTERMEDIATE ACCOUNTING CALCULATOR FULL scREEN PRINTER VERSION BACK NEXT 0 for th Cred 4.16.2.2 12:48 PM 11/2/2015Explanation / Answer
Solution:
a Bank 6,348 Receivable 6,348 b Bank Service Charge 36 Cash 36 c Cash 47 Interest Income 47 d Accounts Receivable 7,679 Cash 7,679 e Accounts Receivable 476 Cash 476