Question: please send me answer as soon as possible. The accountant for Jerico Co. has provided you with the following information for the month of March

The accountant for Jerico Co. has provided you with the following information for the month of March 2021. Prepare the bank reconciliation as at March 31, 2021 using the drop-down menus below. MONTH OF MARCH 2021 DEPOSITS BALANCE 7000.00 MARINA BANK DATE Balance Forward March March 6 March 12 March 19 March 21 March 28 March 31 BANK STATEMENT OF JERICO CO. DESCRIPTION WITHDRAWALS Balance Forward Depost Che 335 1350.00 Cha 337 610.00 NSF 600.00 Deposit Che 335 850.00 Service Charges 5.00 14530.00 21530.00 20180.00 19570.00 18970.00 19770.00 18920.00 18915.00 800.00 REFERENCE DEBIT CREDIT 7000.00 1500,00 ACCOUNT: CASH DATE Opening Balance March 1 March 3 March 4 March 9 March 10 March 18 March 28 Deposit Deposit Cha 335 Chau Chg 12 Depost Cha 333 1350.00 850.00 610.00 ACCT 1000 BALANCE Dr. (C) 14530.00 21530.00 23030.00 21660.00 20830.00 20220,00 21020.00 20020.00 D 800.00 200.00 Remaining Time: 1 hour, 41 minutes, 10 seconds. Question Completion Status: March 18 March 28 800.00 Deposit Cho 338 20 Answer: Jerico Co Bank Reconciliation March 31, 2021 Ending Bank Balance Add: 50 Subtract Adjusted Book Balance A Moving to another question will save this response
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