Question: Preparing a bank reconciliation and journal entries This problem continus Canon Canoe C Naons Bank during March 2019. for the new cash accounn from is

 Preparing a bank reconciliation and journal entries This problem continus Canon

Preparing a bank reconciliation and journal entries This problem continus Canon Canoe C Naons Bank during March 2019. for the new cash accounn from is ps-36 the Canyon Canoc has decided to open a e aon CC's Marh Cash-River Nations Bank Chedking Account Mar1 Balance 2 Deposit10,000200 Mar 2 C1o 13 Deposit 2,3254,300 4C102 20 Deposit 2,750 750 9 Cato 27 Deposit 4,500 1.675 14 Co 1 Deposit 3,4901,500 21 Co5 175 28 C 300 30 Cr107 14,165 Canyon Canoe Company' bank nasement daeed Mards 31,2019,i Beginning Balance, March 1, 2019 Deposits and other credits Mar 2 14 21 28 29 EFT Sport Shirts 31 Interest Revenue $10.000 2.325 2.750 4.500 4520,120 Checks and ather debits Mar. 2 EFT to Bank Checks 3 as101 1675 15 Ck 104 6 Ck 103 28 EFT to Rivers Energy 29 Ck106 31 Bank service charge 750 175 70 ?12,625 Ending balance March 31, 2019 Sport Shirts is a customer making a payment on accot Bank Checks is a company that prints business checks considered a bank expense) for Canyan Canoe Company Rivers Energy is a

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