Question: I will give a thumbs up for the answer The following is a detailed bank reconciliation for Marin Limited for October. Marin Ltd. Bank Reconciliation

I will give a thumbs up for the answer

I will give a thumbs up for the answer The following is

The following is a detailed bank reconciliation for Marin Limited for October. Marin Ltd. Bank Reconciliation October 31 $5,964 Cash balance per bank statement Add: Bank error Deposits in transit $650 1,511 2,161 8,125 554 $7,571 Less: Outstanding cheques Adjusted cash balance per bank Cash balance per books Add: Collection of note receivable $5,979 2,600 8,579 $27 930 Less: Correction of cheque #1581 error for Payment on account ($685 - $658) NSF cheque Tyler Moore Bank Service charge Correction in May 12 deposit of cash sales ($828 - $818) Adjusted cash balance per books 41 10 1,008 $7,571 Provide the effect (Increase, Decrease, or No Effect) the journal entries for the reconciling items will have of the financial statement items listed below: Item 1 Item 2 Item 3 Item 4 Item 5 Collection of note receivable Payment on account NSF cheque Tyler Moore Bank service charge Correction in May 12 deposit of cash sales ($828 - $818) 2,600 27 930 41 10 The following is a detailed bank reconciliation for Marin Limited for October. Marin Ltd. Bank Reconciliation October 31 $5,964 Cash balance per bank statement Add: Bank error Deposits in transit $650 1,511 2,161 8,125 554 $7,571 Less: Outstanding cheques Adjusted cash balance per bank Cash balance per books Add: Collection of note receivable $5,979 2,600 8,579 $27 930 Less: Correction of cheque #1581 error for Payment on account ($685 - $658) NSF cheque Tyler Moore Bank Service charge Correction in May 12 deposit of cash sales ($828 - $818) Adjusted cash balance per books 41 10 1,008 $7,571 Provide the effect (Increase, Decrease, or No Effect) the journal entries for the reconciling items will have of the financial statement items listed below: Item 1 Item 2 Item 3 Item 4 Item 5 Collection of note receivable Payment on account NSF cheque Tyler Moore Bank service charge Correction in May 12 deposit of cash sales ($828 - $818) 2,600 27 930 41 10

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 Finance Questions!