Question: Question 8 (of 8) value: 1.75 points E6-26 Preparing Bank Reconciliation, Entries, and Reporting Cesh LO6-4 0 bank statement for Bennett Company and the September

 Question 8 (of 8) value: 1.75 points E6-26 Preparing Bank Reconciliation,
Entries, and Reporting Cesh LO6-4 0 bank statement for Bennett Company and
the September ledger accounts for cash are summarized here: BANK STATEMENTl Balance

Question 8 (of 8) value: 1.75 points E6-26 Preparing Bank Reconciliation, Entries, and Reporting Cesh LO6-4 0 bank statement for Bennett Company and the September ledger accounts for cash are summarized here: BANK STATEMENTl Balance $ 7,000 $26,20033,200 Balance, Sep Deposits recorded during September hecks cleared during September$26,650 NSF checks--Betty Brown Bank servion charges Balance, Sephember 30 6,550 160 57 ,333 6,333 Sept. 1 BalanceT,000 Sept Deposs 28400 Sept. Checks written29 No outstanding checks and ho deposits in transit were carried over from August however, there are deposits in transit and checks outstanding at the end of September Required: 1. Reconcile the bank Company's Books Bank Statement Additions 2. Prepare the journal entries that should be made as the result of the bank reconcliation. (if no entry is required for a transactionevent, select "No journal entry required" in the first account aid ) View transaction list ournal entry worksheet Record service charges deducted from bank account oe: Ener debts before credits. Record entry View general journal s. vihat shouid the balanoe in the Cesh account be aher the recenciliation enties Wheroamourt of cash shouid the company epont on the September 30 balance sheet

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