Question: Please answer problem #6, SHOWING ALL WORK ACCORDINGLY ON ALL SECTIONS. Thank you! The following information pertains to Oriole Company. 1 2 3 Cash balance

The following information pertains to Oriole Company. 1 2 3 Cash balance per books, August 31, $ 7.374. Cash balance per bank, August 31, $7,338. Outstanding checks, August 31, $ 692. August bank service charge not recorded by the depositor $44. Deposits in transit. August 31. $2.910. 4 5. In addition $ 2.226 collected for Oriole Company in August by the bank through electronic funds transfer. The accounts receivable collection has not been recorded Oriole Company Prepare a bank reconciliation at August 31, 2022. (List Items that increase balance as per bank & books first.) ORIOLE COMPANY Bank Reconciliation A $ V $ S
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