Question: Practice 6 . 5 - Prepare a bank reconciliation and then journal entries given the following information: Joe's bank statement for 4 / 3 0
Practice Prepare a bank reconciliation and then journal entries given the following information: Joe's bank statement for showed a $ balance and Joe's checkbook ledger showed a $ balance.
There were outstanding checks of $
There was a nonsufficient check of $
There was a deposit in transit of $
There was an error on check # which was written for $ but Joe incorrectly recorded it as a debit to for $ and a credit to cash for $
There was a bank service charge of $
There was an electronic funds transfer EFT into Joe's account for $
There was interest revenue of $
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