Question:
Bank reconciliation The following data were gathered to use
Last updated: 10/31/2023
Bank reconciliation The following data were gathered to use in reconciling the bank account of Reddan Company Balance per bank 19 000 Balance per company records 9 680 Bank service charges 20 Deposit in transit 2 700 Note collected by bank with 120 interest 5 100 Outstanding checks 6 940 a What is the adjusted balance on the bank reconciliation Feedback Check My Work b Journalize any necessary entries for Azalea Company based on the bank reconciliation If an amount box does not require an entry leave it E Miscellaneous Expense Cash 88