Reconciling items on Edward's Inc. prior period March 31 bank reconciliation follow. Deposits in transit $2,500...
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Reconciling items on Edward's Inc. prior period March 31 bank reconciliation follow. Deposits in transit $2,500 Checks outstanding $(500) April transactions for Edward follow. Transactions Checks recorded Service charges recorded Deposits recorded Electronic payments from bank Direct deposits to bank Balance, April 30 Required Prepare a bank reconciliation for April. Bank balance, unadjusted Deposits in transit Outstanding checks Adjusted bank balance Bank Books $28,750 $29,500 75 19,000 22,500 400 4,000 22,700 23,925 Book balance, unadjusted Bank direct deposits Bank electronic payment Service charge Adjusted book balance $22,700 $23,925 Reconciling items on Edward's Inc. prior period March 31 bank reconciliation follow. Deposits in transit $2,500 Checks outstanding $(500) April transactions for Edward follow. Transactions Checks recorded Service charges recorded Deposits recorded Electronic payments from bank Direct deposits to bank Balance, April 30 Required Prepare a bank reconciliation for April. Bank balance, unadjusted Deposits in transit Outstanding checks Adjusted bank balance Bank Books $28,750 $29,500 75 19,000 22,500 400 4,000 22,700 23,925 Book balance, unadjusted Bank direct deposits Bank electronic payment Service charge Adjusted book balance $22,700 $23,925
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Related Book For
Financial Accounting Tools for Business Decision Making
ISBN: 978-0470239803
5th Edition
Authors: Jerry J. Weygandt, Paul D. Kimmel, Donald E. Kieso
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