The following data were gathered to use in reconciling the bank statement of Build-A-Lot: ...

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Accounting

The following data were gathered to use in reconciling the bank statement of Build-A-Lot:

Balance per bank

$14,355

Balance per company records

14,010

Bank service charges

80

Deposits in transit

4,100

NSF checks

775

Outstanding checks

5,300

Required:

1. What is the adjusted balance on the bank reconciliation?

Bank section of reconciliation $
Company section of reconciliation $

2. Journalize any necessary entries for Build-A-Lot based on the bank reconciliation.

Accounts Receivable
Miscellaneous Expense

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