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Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill 1 Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: Debit June 1 Balance June Deposits ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... Required 1 Required 2 Additions: Deductions: Correct cash balance X M Question 5 - Chapter 6 Home 7,350 18,950 76 BANK STATEMENT Checks Cash (A) 1,816 Complete this question by entering your answers in the tabs below. $ 16,900 21 Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Company's Books Credit June Checks written Required 4 Deposits $ 15,650 Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 3 BENTLEY COMPANY Bank Reconciliation, June 30 OCT 19,550 CO Balance $ 7,350 23,000 < Required 1 6 6,100 6,079 6,079 Additions: X Deductions: Course Hero Correct cash balance Bank Statement Required 2 > Saved tv Prev 5 of 5 Course Hero + Score answer x + NIZA W 29 O US U.S. Help ad Save & Exit X Fri Oct 6 9:41 AM Submit PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework 5 eBook Ask Print References Mc Graw Hill Dashboard June 1 Balance June Deposits Debit ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... View transaction list Required 1 Required 2 Required 3 < Complete this question by entering your answers in the tabs below. Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? 1 7,350 18,950 Journal entry worksheet 2 Date June 30 76 X M Question 5 - Chapter 6 Home Cash (A) Record any journal entries that should be made as a result of the bank reconciliation. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) Note: Enter debits before credits. Record entry Credit June Checks written 3 1,816 Record the entry for deposits during June. Required 4 General Journal Clear entry < Required 1 3 19,550 OCT CO 6 X Debit Credit Course Hero View general journal Required 3 > > Saved tv Prev 5 of 5 Course Hero + Score answer Sill x + AG W 29 O US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit 9000030-0 LUCODONTZACOGE PDF : Chrome 5 File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 Cash balance X M Question 5 - Chapter 6 Home 76 7,350 18,950 Required 2 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Required 3 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 4 What is the balance in the Cash account after the reconciliation entries? < Required 2 Deposits 3 $ 15,650 OCT CO 6 Balance $ 7,350 23,000 6,100 6,079 6,079 19,550 X Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ad Save & Exit X Fri Oct 6 9:42 AM Submit PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 X M Question 5 - Chapter 6 Home Required 2 Total amount of cash 76 7,350 18,950 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Required 4 < Required 3 Deposits What is the total amount of cash that should be reported on the balance sheet at June 30? 3 $ 15,650 OCT CO Balance $ 7,350 23,000 6,100 6,079 6,079 6 X 19,550 Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit MOTIKOIT LUCODONZOOGOL PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill 1 Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: Debit June 1 Balance June Deposits ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... Required 1 Required 2 Additions: Deductions: Correct cash balance X M Question 5 - Chapter 6 Home 7,350 18,950 76 BANK STATEMENT Checks Cash (A) 1,816 Complete this question by entering your answers in the tabs below. $ 16,900 21 Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Company's Books Credit June Checks written Required 4 Deposits $ 15,650 Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 3 BENTLEY COMPANY Bank Reconciliation, June 30 OCT 19,550 CO Balance $ 7,350 23,000 < Required 1 6 6,100 6,079 6,079 Additions: X Deductions: Course Hero Correct cash balance Bank Statement Required 2 > Saved tv Prev 5 of 5 Course Hero + Score answer x + NIZA W 29 O US U.S. Help ad Save & Exit X Fri Oct 6 9:41 AM Submit PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill 1 Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: Debit June 1 Balance June Deposits ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... Required 1 Required 2 Additions: Deductions: Correct cash balance X M Question 5 - Chapter 6 Home 7,350 18,950 76 BANK STATEMENT Checks Cash (A) 1,816 Complete this question by entering your answers in the tabs below. $ 16,900 21 Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Company's Books Credit June Checks written Required 4 Deposits $ 15,650 Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 3 BENTLEY COMPANY Bank Reconciliation, June 30 OCT 19,550 CO Balance $ 7,350 23,000 < Required 1 6 6,100 6,079 6,079 Additions: X Deductions: Course Hero Correct cash balance Bank Statement Required 2 > Saved tv Prev 5 of 5 Course Hero + Score answer x + NIZA W 29 O US U.S. Help ad Save & Exit X Fri Oct 6 9:41 AM Submit PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill 1 Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: Debit June 1 Balance June Deposits ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... Required 1 Required 2 Additions: Deductions: Correct cash balance X M Question 5 - Chapter 6 Home 7,350 18,950 76 BANK STATEMENT Checks Cash (A) 1,816 Complete this question by entering your answers in the tabs below. $ 16,900 21 Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Company's Books Credit June Checks written Required 4 Deposits $ 15,650 Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 3 BENTLEY COMPANY Bank Reconciliation, June 30 OCT 19,550 CO Balance $ 7,350 23,000 < Required 1 6 6,100 6,079 6,079 Additions: X Deductions: Course Hero Correct cash balance Bank Statement Required 2 > Saved tv Prev 5 of 5 Course Hero + Score answer x + NIZA W 29 O US U.S. Help ad Save & Exit X Fri Oct 6 9:41 AM Submit PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework 5 eBook Ask Print References Mc Graw Hill Dashboard June 1 Balance June Deposits Debit ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... View transaction list Required 1 Required 2 Required 3 < Complete this question by entering your answers in the tabs below. Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? 1 7,350 18,950 Journal entry worksheet 2 Date June 30 76 X M Question 5 - Chapter 6 Home Cash (A) Record any journal entries that should be made as a result of the bank reconciliation. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) Note: Enter debits before credits. Record entry Credit June Checks written 3 1,816 Record the entry for deposits during June. Required 4 General Journal Clear entry < Required 1 3 19,550 OCT CO 6 X Debit Credit Course Hero View general journal Required 3 > > Saved tv Prev 5 of 5 Course Hero + Score answer Sill x + AG W 29 O US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit 9000030-0 LUCODONTZACOGE PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework 5 eBook Ask Print References Mc Graw Hill Dashboard June 1 Balance June Deposits Debit ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... View transaction list Required 1 Required 2 Required 3 < Complete this question by entering your answers in the tabs below. Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? 1 7,350 18,950 Journal entry worksheet 2 Date June 30 76 X M Question 5 - Chapter 6 Home Cash (A) Record any journal entries that should be made as a result of the bank reconciliation. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) Note: Enter debits before credits. Record entry Credit June Checks written 3 1,816 Record the entry for deposits during June. Required 4 General Journal Clear entry < Required 1 3 19,550 OCT CO 6 X Debit Credit Course Hero View general journal Required 3 > > Saved tv Prev 5 of 5 Course Hero + Score answer Sill x + AG W 29 O US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit 9000030-0 LUCODONTZACOGE PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework 5 eBook Ask Print References Mc Graw Hill Dashboard June 1 Balance June Deposits Debit ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... View transaction list Required 1 Required 2 Required 3 < Complete this question by entering your answers in the tabs below. Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? 1 7,350 18,950 Journal entry worksheet 2 Date June 30 76 X M Question 5 - Chapter 6 Home Cash (A) Record any journal entries that should be made as a result of the bank reconciliation. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.) Note: Enter debits before credits. Record entry Credit June Checks written 3 1,816 Record the entry for deposits during June. Required 4 General Journal Clear entry < Required 1 3 19,550 OCT CO 6 X Debit Credit Course Hero View general journal Required 3 > > Saved tv Prev 5 of 5 Course Hero + Score answer Sill x + AG W 29 O US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit 9000030-0 LUCODONTZACOGE PDF : Chrome 5 File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 Cash balance X M Question 5 - Chapter 6 Home 76 7,350 18,950 Required 2 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Required 3 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 4 What is the balance in the Cash account after the reconciliation entries? < Required 2 Deposits 3 $ 15,650 OCT CO 6 Balance $ 7,350 23,000 6,100 6,079 6,079 19,550 X Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ad Save & Exit X Fri Oct 6 9:42 AM Submit PDF : Chrome 5 File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 Cash balance X M Question 5 - Chapter 6 Home 76 7,350 18,950 Required 2 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Required 3 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 4 What is the balance in the Cash account after the reconciliation entries? < Required 2 Deposits 3 $ 15,650 OCT CO 6 Balance $ 7,350 23,000 6,100 6,079 6,079 19,550 X Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ad Save & Exit X Fri Oct 6 9:42 AM Submit PDF : Chrome 5 File Edit View History Bookmarks Profiles Tab Window Help Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 Cash balance X M Question 5 - Chapter 6 Home 76 7,350 18,950 Required 2 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Required 3 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 4 What is the balance in the Cash account after the reconciliation entries? < Required 2 Deposits 3 $ 15,650 OCT CO 6 Balance $ 7,350 23,000 6,100 6,079 6,079 19,550 X Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ad Save & Exit X Fri Oct 6 9:42 AM Submit PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 X M Question 5 - Chapter 6 Home Required 2 Total amount of cash 76 7,350 18,950 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Required 4 < Required 3 Deposits What is the total amount of cash that should be reported on the balance sheet at June 30? 3 $ 15,650 OCT CO Balance $ 7,350 23,000 6,100 6,079 6,079 6 X 19,550 Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit MOTIKOIT LUCODONZOOGOL PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 X M Question 5 - Chapter 6 Home Required 2 Total amount of cash 76 7,350 18,950 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Required 4 < Required 3 Deposits What is the total amount of cash that should be reported on the balance sheet at June 30? 3 $ 15,650 OCT CO Balance $ 7,350 23,000 6,100 6,079 6,079 6 X 19,550 Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit MOTIKOIT LUCODONZOOGOL PDF : Chrome File Edit View History Bookmarks Profiles Tab Window Help 5 Chapter 6 Homework i eBook Ask Print References Mc Graw Hill Dashboard E6-27 (Algo) Preparing Bank Reconciliation and Entries and Reporting Cash LO6-4 Balance, June 1 Deposits during June Checks cleared during June Bank service charges Balance, June 30 Bentley Company's June 30 bank statement and June ledger account for cash are summarized below: ezto.mheducation.com/ext/map/index.html?_con=con&external_browser=0&launchUrl=https%253A%252F%252Flms.mheducation.com%252Fmghmiddleware%252Fmheproducts%252FlmsClos... June 1 Balance June Deposits Debit Required 1 X M Question 5 - Chapter 6 Home Required 2 Total amount of cash 76 7,350 18,950 BANK STATEMENT 1,817 Cash (A) Checks $ 16,900 21 Complete this question by entering your answers in the tabs below. Credit June Checks written Required: 1. Complete the following bank reconciliation. A comparison of the checks written with the checks that have cleared the bank shows outstanding checks of $2,650. A deposit of $3,300 is in transit at the end of June. 2. Prepare the journal entry that should be made as a result of the bank reconciliation. 3. What is the balance in the Cash account after the reconciliation entries? 4. What is the total amount of cash that should be reported on the balance sheet at June 30? Required 3 Required 4 < Required 3 Deposits What is the total amount of cash that should be reported on the balance sheet at June 30? 3 $ 15,650 OCT CO Balance $ 7,350 23,000 6,100 6,079 6,079 6 X 19,550 Course Hero Required 4 > tv Saved Prev 5 of 5 Course Hero + Score answer x + NIZA W 30 US U.S. Help ed Save & Exit X Fri Oct 6 9:42 AM Submit MOTIKOIT LUCODONZOOGOL PDF :
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Introduction to Java Programming, Comprehensive Version
ISBN: 978-0133761313
10th Edition
Authors: Y. Daniel Liang
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