Question: Need help filling in the missing information 0 EXERCISE 6-1 A che ise 3 Fill in the missing amounts for the following bank reconciliation: An

Need help filling in the missing information

Need help filling in the missing information 0 EXERCISE 6-1 A che

0 EXERCISE 6-1 A che ise 3 Fill in the missing amounts for the following bank reconciliation: An A de Bank Reconciliation March 31, 20- Bank Statement Balance $3,764.00 Add: Deposit in transit $4,031.00 Deduct: Outstanding checks $212.00 No. 211 No. 225 No. 228 318.00 850.00 Adjusted Bank Statement Balance $2,E Ledger Balance of Cash Add: Note collected by bank 430 Deduct: Bank service and collection charges 74.00 86.00 NSF check from customer Adjusted Ledger Balance of Cash 0 EXERCISE 6-1 A che ise 3 Fill in the missing amounts for the following bank reconciliation: An A de Bank Reconciliation March 31, 20- Bank Statement Balance $3,764.00 Add: Deposit in transit $4,031.00 Deduct: Outstanding checks $212.00 No. 211 No. 225 No. 228 318.00 850.00 Adjusted Bank Statement Balance $2,E Ledger Balance of Cash Add: Note collected by bank 430 Deduct: Bank service and collection charges 74.00 86.00 NSF check from customer Adjusted Ledger Balance of Cash

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!