accounting

Project Description:

the following information is available for jade company for the month ending june 30, 2014.
∙ balance as per the bank statement is $11,240.
∙ balance as per books is $10,200.
∙ check #506 for $1,200 and check #510 for $900 were not shown on the june 30, bank statement.
∙ a deposit in transit of $3,110 had not been received by the bank when the bank statement was generated.
∙ a bank debit memo indicated an nsf check for $85 written by jane smith to jade company on june 13.
∙ a bank credit memo indicated a note collected by the bank of $2,100 and interest revenue of $55 on june 20.
∙ the bank statement indicated service charges of $20.
Skills Required:
Project Stats:

Price Type: Fixed

Project Budget: $0 to $10
Expired
Total Proposals: 9
1 Current viewersl
51 Total views
Project posted by:

Proposals

Proposals Reputation Price offered
  • 4.9
    63 Jobs 31 Reviews
    $10 in 1 Day
  • 4.9
    126 Jobs 75 Reviews
    $10 in 1 Day
  • 4.3
    309 Jobs 189 Reviews
    $10 in 12 Hours
  • 4.9
    109 Jobs 49 Reviews
    $10 in 24 Hours
  • 4.2
    68 Jobs 35 Reviews
    $10 in 1 Day
  • 5.0
    148 Jobs 118 Reviews
    $9 in 1 Day
  • 4.7
    32 Jobs 9 Reviews
    $8 in 1 Day
  • 4.9
    497 Jobs 278 Reviews
    $10 in 1 Day
  • 0.0
    0 Jobs 0 Reviews
    $5 in 1 Day