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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