prepare the bank reconciliation for august 31 using the following form

Get perfect grades by consistently using our writing services. Place your order and get a quality paper today. Take advantage of our current 20% discount by using the coupon code GET20

Order a Similar Paper Order a Different Paper

Cash account balance on books, August 31,1992 $20000.00

Outstanding checks $10000.00

Deposits in transit august 31 1992 $15000.00

Cash balance in bank, 0831/1992 $15450

service charge for august $50.00

customer NSF CHECK RETURNED by bank $400.00

Error made by comapany in recording a check

Recorded in cash disbursments journal as

$1000 but shouls have been $100. Bank cleared the check properly

Prepare the bank reconciliation for august 31, using the following form

Balance per books , 08 31 1992 $



Adjusted balance per books $

Balance per bank statement 08311992 $



Adjusted bank balance $

"Is this question part of your assignment? We can help"


Got stuck with another paper? We can help! Use our paper writing service to score better grades and meet your deadlines.

Get 15% discount for your first order

Order a Similar Paper Order a Different Paper