Question: Question 24 12 pts Using the following information from Cranium Conundrum Corporation: 1. Cash balance per bank of $7.263 as of July 311st. 2. July
Question 24 12 pts Using the following information from Cranium Conundrum Corporation: 1. Cash balance per bank of $7.263 as of July 311st. 2. July bank service charge not recorded by the company of $28. 3. Cash balance per books of $7,284 as of July 31st. 4. Deposits in transit of $1,300 as of July 31tt. 5. The bank collected $716 for the company-a $700 note plus $16 in interest. The company had not yet recorded this transaction. 6. Outstanding checks of $591 as of July 31st.. How will each item be shown on the bank reconciliation? Deposits in Transit [Choose] [Choose] Outstanding Cheds Added to the cash balance per bank Bank paid us interest income (revenuc) statement Added to the cash balance per books Bank Service Charge Subtracted from the eash balance per books Subtracted from the cash balance per bank statement
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