Question: How do i set up a bank reconciliation from the info given for Hammond Company for June 30, 2017. a.The bank statement balance is $7,650.

How do i set up a bank reconciliation from the info given for Hammond Company for June 30, 2017.

a.The bank statement balance is $7,650.

b.The cash account balance is $6,422

c.Outstanding checks totaled $1,650.

d.Deposits in transit are $900.

e.The bank service charge is $22.

f.Collection of note by bank, $500.

Step by Step Solution

There are 3 Steps involved in it

1 Expert Approved Answer
Step: 1 Unlock blur-text-image
Question Has Been Solved by an Expert!

Get step-by-step solutions from verified subject matter experts

Step: 2 Unlock
Step: 3 Unlock

Students Have Also Explored These Related Accounting Questions!