Essay
Construct the bank reconciliation for Zone Training, as of October 31, from the following information:
Ending General Ledger balance $840
Ending bank statement balance 640
Deposits in transit 440
Outstanding cheques 280
Bank service charge (debit memo) 40
Correct Answer:

Verified
Zone Training
Bank Reconciliation as of ...View Answer
Unlock this answer now
Get Access to more Verified Answers free of charge
Correct Answer:
Verified
Bank Reconciliation as of ...
View Answer
Unlock this answer now
Get Access to more Verified Answers free of charge
Q4: A payment for $32 is incorrectly recorded
Q7: Marcella Industries received a credit memorandum from
Q10: Prepare journal entries for the following petty
Q11: From the following information, prepare the bank
Q12: The August bank statement for Jenn's Nursing
Q13: When reconciling the ending bank balance per
Q14: From the bank reconciliation no entry was
Q15: Deposits that have been added to the
Q52: A signature card is kept in the
Q125: When a bank credits your account, it