1. The cash account shows a balance of $85000 before reconciliation. The bank statement does...
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Accounting
1. The cash account shows a balance of $85000 before reconciliation. The bank statement does not include a deposit of $4500 made on the last day of the month. The bank statement shows a collection by the bank of $1900 and a customers check for $600 was returned because it was NSF. A customers check for $850 was recorded on the books as $1050, and a check written for $130 was recorded as $185. The correct balance in the cash account was
What's the difference between A customers check for $850 was recorded on the books as $1050, and a check written for $130 was recorded as $185.?
$86155. |
$86900. |
$90655. |
$86100 |
2. A customers check for $850 was recorded on the books as $1050, and a check written for $130 was recorded as $185.
A: +36.00 (Why isn't it -36.00)
3. A check for $1000 was erroneously charged by the bank against the account, the correct balance in the bank account at month end is
A: +1,000.00 (Why isn't it -1,000.00)
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