Indicate which of the actions (1 through 4) listed below must be taken when doing a bank

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Indicate which of the actions (1 through 4) listed below must be taken when doing a bank reconciliation for each of the six situations (a through f) described on the following page.
1. Add to bank balance
2. Deduct from bank balance
3. Add to general ledger Cash balance
4. Deduct from general ledger Cash balance
____ a. $15 bank service charge
____ b. $725 deposit in transit
____ c. $36 NSF cheque
____ d. A $78 cheque was written and recorded as $87
____ e. Bank collected a $5,000 note less a $50 collection fee
____ f. Cheque No. 113 for the amount of $36
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College Accounting A Practical Approach

ISBN: 978-0132564441

11th Canadian Edition

Authors: Jeffrey Slater, Brian Zwicker

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