Question:

Bank reconciliation The following data were gathered to use

Last updated: 10/31/2023

Bank reconciliation The following data were gathered to use

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