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samilee samilee
wrote...
Posts: 352
5 years ago
Refer to the following bank reconciliation.

BankBook
Balance, June 30, 2017$11,240Balance, June 30, 2017$10,200
Add:Add:
Deposit in transit3,110Note collected by bank2,100
Interest revenue55
Less:Less:
Outstanding checks #5061,200NSF check85
Outstanding checks #510900Bank service charge20
________________
Adjusted balance, Adjusted balance,
June 30, 2017$12,250June 30, 2017$12,250

Journalize the adjusting entry for the fourth reconciling item: Bank service charge.
Textbook 
Horngren's Accounting

Horngren's Accounting


Edition: 11th
Authors:
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einsteineinstein
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Posts: 136
5 years ago
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this is exactly what I needed
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This site is awesome
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