Biology Forums - Study Force

Other Fields Homework Help Accounting Topic started by: harra on Sep 19, 2017



Title: Prepare any necessary journal entries based on the following data regarding the bank reconciliation ...
Post by: harra on Sep 19, 2017
Prepare any necessary journal entries based on the following data regarding the bank reconciliation prepared by Ragoon Services on May 31, 2014.

a) Outstanding cheques amount to $1,650.
b) The service charges for February amount to $35.
c) Cheque #665 for $3,640 for the cash purchase of office equipment was erroneously recorded by the bookkeeper as $364.
d) The bank erroneously credited  Ragoon Services' account for $300 for a deposit made by Lagoon Company.
e) A deposit ticket correctly prepared for $975 appeared on the bank statement as a deposit for $795.
f) Cheque #650 for $1,000 for utilities expense was erroneously recorded by the bookkeeper as $100.
g) A customer's cheque for $450 was returned with the bank statement and stamped NSF.


Title: Re: Prepare any necessary journal entries based on the following data regarding the bank ...
Post by: migrod on Sep 19, 2017
Content hidden