Question: please complete chart with all journal entries in reference to the table below BOW WOW DOGGY BAKERY, INC. Bank Reconciliation For the Month Ended December
BOW WOW DOGGY BAKERY, INC. Bank Reconciliation For the Month Ended December 31, 2015 ompany's Books Bank Statement nding cash balance per books 29,775 Ending cash balance per bank statement s26,956 dditions: Additions: Bank interest 45 Deposits in transit 3,204 Error- Incorrectly recorded Error- Safety deposit box fee 100 payment from customer 18 Deductions: Deductions: Incorrectly recorded outstanding checks 660) payment to supplier 110) check from Peggy Willow 123) Bank service charges Ending correct cash balance S 29,600 Ending correct cash balance Bow Wow Doggy Bakery, Inc. does not have a safety deposit box. Required: Using the information contained in the bank reconciliation above, prepare all the journal entries that Bow Wow Doggy Bakery, Inc. should make. DEBIT CREDIT ACCOUNT DATE
Step by Step Solution
There are 3 Steps involved in it
Get step-by-step solutions from verified subject matter experts
