Multiple Choice
The following information is needed to reconcile the cash balance for Woods Paper Products. • A deposit of $5 794.62 is in transit.
• Outstanding cheques total $1 533.25.
• The book balance is $5 695.62.
• The bookkeeper recorded a $1 524.00 cheque as $15 240 in payment of the current month's rent.
• The bank balance at 28 February 2014 was $16 500.25.
• A deposit of $300 was credited by the bank for $3 000.
• A customer's cheque for $1 280 was returned for nonsufficient funds.
• The bank service charge is $70.
Which of the following journal entries is needed to adjust for the booking error?
A)
B)
C)
D)
Correct Answer:

Verified
Correct Answer:
Verified
Q10: The following information is needed to reconcile
Q11: Which of the following is a general
Q12: Which of the following is NOT one
Q16: Which of the following is a security
Q17: In reconciling a bank statement, the bank
Q19: Reducing expense to increase operating profit is
Q20: Which of the following describes the internal
Q31: Journal entries must be made to record
Q80: The journal entry to open a new
Q111: The journal entry to replenish a petty