Question: below is the attachment and worksheet for the question please help B06.03 Dine-Corp International publishes ratings and reviews of the world's finest restaurants. Following are
below is the attachment and worksheet for the question please help

B06.03 Dine-Corp International publishes ratings and reviews of the world's finest restaurants. Following are facts you need to prepare Dine-Corp's March bank reconciliation: Balance per company records at end of month Bank service charge for the month NSF check returned with bank statement Note collected by the bank during the month Outstanding checks at month end Interest on note collected during the month Balance per bank at end of month Deposit in transit at month end $72,644.12 44.00 1,440.66 45,000.00 31,553.57 4,500.00 144,223.99 7,989.04 Name: B06.03 Date: Section: Ending balance per bank statement $144,223.99 Add: - Deduct: - Correct cash balance $- Ending balance per company records $72,644.12 Add: $- - Deduct: - Correct cash balance - $
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