The following information pertains to Silver Key Company. Prepare the bank reconciliation at July 31 by determining
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Silver Key Item 1 Cash balance per bank, $9,136 2. Cash balance per books, $8,490 3. July bank service charge not recorded by the depositor, $25 4. Deposits in transit, July 31, $780 5. Error made by Silver Key in recording check #1156 to the utility Bank company for $245 instead of $345 6. Outstanding check, July 31, S1,551 Correct balances
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Item Bank Silver Key 1 Cash balance per bank 9136 9136 2 Cash bala...View the full answer
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Related Book For
Intermediate Accounting
ISBN: 978-0132162302
1st edition
Authors: Elizabeth A. Gordon, Jana S. Raedy, Alexander J. Sannella
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