Question: Please, after modifying the question, do not leave the question and go. Wait until the question is modified, because it is not fair for the








Date Check No. Item Check Deposit Balance 11/1 $ 1,420 5 922 Luigi Kitchen $ 38 1,382 10 $ 390 1,772 14 923 45 15 924 60 1,727 1,667 1,528 19 Dividends received Top Notch Products Fergus (payment on account) Cash Office Mart North East Properties Monthly Sales 925 139 27 926 133 1,395 28 927 710 685 29 4,200 4,885 Bal, Nov 1 $ 1,420 Deposits: 390 Checks: No. Amount 922 $ 38 923 45 924 61 * 925 139 (283) Other charges: Printed checks $ 23 Service charge 10 (33) Bal, Nov 30 $ 1,494 *This amount is correct for check no. 924. Cyr's Produce, Inc.'s checkbook lists the following Click icon to view the checkbook) C's Produce, Inc.'s November bank statement shows the following coke icon to viow the November back statement) Read the requirements Requirement. Prepare Cy's Produce, Inc.'s bank reconciliation on November 30, 2018. How much cash does Cyr's Produce acuy have on November 307 Stan by preparing the bark portions of the reconciliation and then complete the reconciliation by comploteng the book portion it a box is not used in the table love the box erroly, do not hold beter enter a tor Cyr's Produce, Inc Bank Reconciliation November 30, 2018 BANK BOOKS Balance November 30 Balance November 30 Time Remaining: 0625 Next Correction of book error Cost of checks Pr Deposit in transit Elic EFT deposit Interest revenue NSF check #926 Novemb Outstanding checks ance Service charge 1: SS: November 30, 2018 BANK BOOKS Balance, November 30 Balance, November 30 Add: Add: L035 Less Cyr's Produce, Inc.'s checkbook lists the following Click the icon to view the checkbook) Cyr's Produce Ines November bank stalent shows the folowing Click the icon to view the November bank statement.) Read the requirements Requirement 2. Prepare all necessary journal entriem for Cyrs Product Inc., to update the cash account as a result of the bank reconciliation (Receta debuts first the codes. Bidade corporatione dicen a Journal Start by recording the try for the correction of the book orror Journal Entry Accounts Credit Date Debit Now 30 Cyr's Produce THH (Click 11 10 VI Accounts payable Cy's Producn, Inc.'s November bank statement shows the following m Click the icon to view the November bank statement Read the requirements Cash Interest revenue Record the entry Miscellaneous expense Rental revenue Date Debit Credit Nov 30 Record the entry for the service charge. Journal Entry Date Accounts Debit Credit Nov 30 1. Prepare Cyr's Produce, Inc.'s bank reconciliation on November 30, 2018. How much cash does Cyr's Produce, Inc. actually have on November 30? 2. Prepare all necessary journal entries for Cyr's Produce, Inc., to update the Cash account as a result of the bank reconciliation
Step by Step Solution
There are 3 Steps involved in it
Get step-by-step solutions from verified subject matter experts
