Question: Please Help Thank You Using the following information, prepare a bank reconciliation for Bogalusa Company- - Bank balance: $6,543 - Book balance: $6,438. Bogalus Company



Using the following information, prepare a bank reconciliation for Bogalusa Company- - Bank balance: \$6,543 - Book balance: $6,438. Bogalus Company had the following checks and deposits. Also note the bank statement includes a bank service charge of $90. Checks written: 101$600 \begin{tabular}{ccc} 102 & $250 \\ 103 & $125 \\ 104 & $500 \\ 105 & $375 \\ 106 & $242 \\ 107 & $70 \\ \hline Cash Receipts: & $7,500 & \\ & $350 & \\ & $750 \end{tabular} - NOTE: The Adjusted Bank Balance should equal Adjusted Book Balance List outstanding check amounts in order of the check uritten. Ending Balance $6,543 \begin{tabular}{|l|l|} \hline Bank & \\ Statement & 6,543 \\ Balance \\ (at date) \end{tabular} Adiusted
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