Question: 13. Indicate which adjustments would require a journal entry during the completion of the bank reconciliation. Place an X on the respective line(s). (6
13. Indicate which adjustments would require a journal entry during the completion of the bank reconciliation. Place an "X" on the respective line(s). (6 Points) a. Deposit in transit b. Bank service charge c. NSF check d. Check written for $19 recorded as $91 e. Outstanding checks f. Check written for $42 recorded as $4 g. Check printing charge h. Note collected by bank.
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