Question: 3 A table for a monthly bank reconciliation dated September 30 is given below. For each item 1 through 12, indicate whether the item should

 3 A table for a monthly bank reconciliation dated September 30

3 A table for a monthly bank reconciliation dated September 30 is given below. For each item 1 through 12, indicate whether the item should be added to or subtracted from the book or bank balance, and whether it should or should not appear on the reconciliation (Select the answers in the appropriate cells. Leave no cells blank. Be certain to select "NA" in fields which are not applicable) Show or Not Shown on Reconciliation Bank Balance Book Balance 1. The company hed a new trener 2. Checks written by the company and maled to payees on September 30 3. Deposit made on September 30 what the bank closed 4 Banks for check printing are not yet recorded by the company 5 Check then against the company's account and dired by the bank or not recorded by the company recorder Arrivals comedy the bank for the company but not yet recorded by company 1 School shown on ment to recorded by company treamed on the account Depoulade on Bapteme and processed by bank on September 10. Check written by other opositori charged in competit 11. Bank service charge 12. Check outstanding on August 31 that cleared the bank in Siber

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