Question: Do Homework M Gmail YouTube Maps gets sapling econ 18 Mielesoft AutoUp Updates are ready Current Attempt in Progress > Mylabpearso O Wildhorse Food Store

 Do Homework M Gmail YouTube Maps gets sapling econ 18 Mielesoft
AutoUp Updates are ready Current Attempt in Progress > Mylabpearso O Wildhorse

Do Homework M Gmail YouTube Maps gets sapling econ 18 Mielesoft AutoUp Updates are ready Current Attempt in Progress > Mylabpearso O Wildhorse Food Store used the following information in recording its bank reconciliation for the month of April. Balance per books April 30 $875 Balance per bank statement April 30 $13,500 (1) Checks written in April but still outstanding $7,500. (2) Checks written in March but still outstanding $4,900. (3) Deposits of April 30 not yet recorded by bank $5,900. (4) NSF check of customer returned by bank $560. (5) Check No. 210 for $684 was correctly issued and paid by the bank but incorrectly entered in the cash payments journal as payment on account for $648. (6) Bank service charge for April was $59. (7) Apayment on account was incorrectly entered in the cash payments journal and posted to the accounts payable subsidiary ledger for $824 when Check correctly prepared for $284. The check cleared the bank in April. (8) The bank collected a note receivable for the company of $6,000 plus $240 interest revenue. Prepare a bank reconciliation at April 30 WILDHORSE FOOD STORE Bank Reconciliation $ $ $

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