Question: Question 2 View Policies Current Attempt in Progress The bank portion of the bank reconciliation for Crane Company at October 31, 2022, is shown below.




Question 2 View Policies Current Attempt in Progress The bank portion of the bank reconciliation for Crane Company at October 31, 2022, is shown below. CRANE COMPANY Bank Reconciliation October 31, 2022 Cash balance per bank $12,697.90 Add: Deposits in transit 1,530.20 14,228.10 Less: Outstanding checks Check Number Check Amount 2451 $1,260.40 2470 684.20 2471 2472 844.50 427.80 1,050.00 2474 4,266.90 $9.961.20 Adjusted cash balance per bank The adjusted cash balance per bank agreed with the cash balance per books at October 31. The November bank statement showed the following checks and deposits. Bank Statement Checks Deposits Date Number Amount Date Amount 11-1 2470 $ 684.20 11-1 11-4 $1,530.20 1,211.60 844.50 1,050.00 11-8 990.10 1,640.70 11-13 2,575.00 11-2 11-5 11-4 11-8 11-10 11-15 11-18 11-27 11-28 11-30 2471 2474 2475 2476 2477 2479 2480 2481 SC 2483 2,830.00 600.00 1,740.00 11-18 11-19 EFT 11-21 11-25 1,472.70 2,457.00 2.945.00 1,330.00 2,567.30 1,650.00 695.40 92.95 575.50 11-28 11-30 1.186.00 Total 18,584.90 11-29 2486 940,00 Total $13,023.25
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