Sunday, September 4, 2011

Record the necessary journal entries from the following bank reconciliation information for July 31, 2011

ACCOUNTING



10. Record the necessary journal entries from the following bank reconciliation information for July 31, 2011:



Bank Balance, July 31, 2011 $36,739

Checkbook Balance, July 31, 2011 36,444

Bank collection of note receivable 1,200 + 165 interest

Bank service charge 35

Deposits in transit 2,400

Outstanding checks 1,245

NSF check from customer 330

Correction of book error (check #456 written for $160, recorded at $610)—gas expense



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