Question: can you help me answer question 16 please. im already have answer of 15 DishuGoyal answered this 4,406 answers Balance per Bank $ 2,936 Add:

can you help me answer question 16 please. im already have answer of 15
can you help me answer question 16 please. im already have answer
of 15 DishuGoyal answered this 4,406 answers Balance per Bank $ 2,936
Add: Deposit in transit $ 655 Less: Outstanding cheques $ 465 Reconciled

DishuGoyal answered this 4,406 answers Balance per Bank $ 2,936 Add: Deposit in transit $ 655 Less: Outstanding cheques $ 465 Reconciled Balance $ 3.126 Balance per general ledger (books) $ 3,194 Add: Less: Bank service sharges $ 50 Error in cheque recording ($97 - $79) $ 18 100 $ 68 Reconciled Balance $ 3.126 Question 16 (4 points) Saved Listen Required: Based on your bank reconciliation prepared above for Cole Co. above, record the appropriate journal entries that would be necessary (4 Marks). Note: In preparing the entries, ensure to use account names so that it is clear what type of account you are debiting/credit such as expense, payable, receivable, etc. Paragraph B IUAE + Account Debit Credit

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