2
answers
0
watching
465
views

Using the following, prepare a bank reconciliation for Cole co. For May 31, 2011

a) The bank statement balance is $2,936

b) The cash account balance is $3,194

c) Outstanding checks amounted to $465

d) Deposits in transit are $655

e) The bank service charge is $50

f) A Check for $97 for supplies was recorded as $79 in the ledger.

 

For unlimited access to Homework Help, a Homework+ subscription is required.

Unlock all answers

Get 1 free homework help answer.
Already have an account? Log in
Irving Heathcote
Irving HeathcoteLv2
29 Jan 2020
Already have an account? Log in

Related questions

Weekly leaderboard

Start filling in the gaps now
Log in