Kashechewan Inc. mistakenly recorded a cheque as $569 that was written for $659 in payment of a

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Kashechewan Inc. mistakenly recorded a cheque as $569 that was written for $659 in payment of a payable owing to one of the company's suppliers. In addition, the company noticed that the bank had mistakenly deducted a cheque for $415 from its bank account that was written by another company.
(a) Explain how each of these errors should be treated on the bank reconciliation.
(b) Identify any entries required on Kashechewan's books to correct these errors.
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Financial Accounting Tools for Business Decision Making

ISBN: 978-1119368458

7th Canadian edition

Authors: Paul D. Kimmel, Jerry J. Weygandt, Donald E. Kieso, Barbara Trenholm, Wayne Irvine

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