Question: From the following information, construct a bank reconciliation for Zing Co. as of March 31, 201X. Then prepare journal entries ifneeded. Checkbook balance Bank statement
From the following information, construct a bank reconciliation for Zing Co. as of March 31, 201X. Then prepare journal entries ifneeded.
.png)
Checkbook balance Bank statement balance Deposits (in transit) $1,563 Outstanding checks Bank service charge $654 1,200 45 NSF: Mia Kaminsky's check in payment of account was returned for insufficient funds. 900 72
Step by Step Solution
3.26 Rating (164 Votes )
There are 3 Steps involved in it
BALANCE PER BANK Balance Add Deposits in Transit Deduct Outstanding Chec... View full answer
Get step-by-step solutions from verified subject matter experts
Document Format (1 attachment)
294-B-C-A-I-C-C (1396).docx
120 KBs Word File
