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Social Science Clinic => Accounting => Topic started by: Engineer on Nov 11, 2019

Title: Prepare the required journal entries from the bank reconciliation below as of the end of January:The ...
Post by: Engineer on Nov 11, 2019
Prepare the required journal entries from the bank reconciliation below as of the end of January:
The balance per general ledger is $200
There is a debit memo for interest expense, $100
There is a debit memo for a customer's NSF cheque $375
Outstanding cheques amount to $2,000
This month's service charge amounts to $50
Deposits in transit amount to $1,500
Title: Prepare the required journal entries from the bank reconciliation below as of the end of January:The ...
Post by: cam1229 on Nov 11, 2019
January 31Interest Expense $100
Cash $100
January 31Accounts Receivable$375
Cash $375
January 31Service Charge Expense$50
Cash $50