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Question 2 --/1 View Policies Current Attempt in Progress The following information pertains to Sheridan Company. 1. Cash bal|| +Journalize the adjusting entries at July 31 on the books of Sheridan Company. (Credit account titles are automatically indent

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Answer #1

Bank Reconciliation

As on July 31

Unadjusted balance as per Bank statement 8004
Add: Deposit in transit 3266
11270
Less: Outstanding Check -1380
Adjusted balance 9890
Unadjusted balance as per Book 8096
Add: Electronic fund transfer 1840
9936
Less: Bank Charges -46
Adjusted balance 9890

Adjusting entry

Date account and explanation Debit Credit
July 31 Cash 1840
Account receivable 1840
(To record collection)
July 31 Bank Charges 46
Cash 46
(To record bank charges)
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