Presented below is information related to Alen Corp Balance per books on March 311519200. During...

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Presented below is information related to Alen Corp Balance per books on March 311519200. During April, receipts are $184.000 and disbursements are $136.305 Time 21:30 Balance per bank statement on April 30 is $1,700 The following checks were outstanding on April 30 1100 $1.500 1102 $920 1103 32.100 included with the April bank statement and not recorded by the company were a bank bit memo for $45 covering bank chrors for the month, debit mo for $1.000 for a customer's checkered and marked NSF, and credit memo for $410 representing bond interest collected by the bank in the name of Alien Comp Cash on and on April 30 recorded and waiting depositamente to 1.700 Notes you may not use allows/columns of the provided by 2 % Instructions 11) Show.computations of the balance per book on April 30 point 1 he han reconciliation to contact Compom 41 B) Prepare any journal entries required to adjust the cash account on April 30 for Allen Comp. (3 points) DH C 1 (2) Prepare a bank reconciliation to the correct balance) on April 30, for Allen Corp. from the information above. (10 points) Presented below is information related to Alien Corp Balance per books on March 31 is $19.200. During April, receipts are $184.000 and disbursements are $156.885. Time Balance per bank statement on April 30 is $18,700 The following checks were outstanding on April 30 #1101 $1.500 W1102 5920 1103 $2,300 Included with the April bank statement and not recorded by the company were a bank debit memo for $45 covering bank charges for the month, debit me for $1,000 for a customer check returned and marked NSF, and a credit memo for $410 representing bond interest collected by the tank in the name of Allen Corp Cihon hand on April 30 recorded and waiting depout amounted to $1.700. (Note: you may not use all rows/columns of the provided tables) 1 A- B % Instructions (1) Show computations at the balance per book on April 30 2 points Prepare a bank reconciliation to the correct balanced on April 30, for Alen Comp. rom the outono (10 points) 121 Prepare a bank reconciliation to the correct balanced on April 30, for Alien Corp. from the commation above. po (3) Prepare any journal entries required to adjust the cash account on April 30 for Allen Corp points) Dr. Cr

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