Current Attempt in Progress At July 31, Crane Company has this bank information: cash balance per...
At July 31, Crane Company has the following bank information: cash balance per bank $8,180, outstanding checks $742, deposits in transit $1,831, and a bank service charge $20. Determine the adjusted cash balance per bank at July 31. Adjusted cash balance per bank :
At July 31, Ivanhoe Company has this bank information: cash balance per bank $8,925, outstanding checks $790, deposits in transit $1,285 and a bank service charge $50. Determine the adjusted cash balance per bank at July 31. The adjusted cash balance per bank at July 31
At July 31, Oriole Company has the following bank information: cash balance per bank $8,250, outstanding checks $692, deposits in transit $1,831, and a bank service charge $26. Determine the adjusted cash balance per bank at July 31.
The following information pertains to Crane Company. 1. Cash balance per bank, July 31, $7,388. 2. July bank service charge not recorded by the depositor $41. 3. Cash balance per books, July 31, $7,424. 4. Deposits in transit, July 31, $2,760. 5. $2,076 collected for Crane Company in July by the bank through electronic funds transfer. The collection has not been recorded by Crane Company. 6. Outstanding checks, July 31, $689. Date Account Titles and Explanation Debit Credit July 31...
At July 31, Farmer Company has this bank information: cash balance per bank $8,557; outstanding checks $663; deposits in transit $1,297; and bank service charge $22Determine the adjusted cash balance per bank on July 31.
The following information pertains to Crane Company 1. Cash balance per bank, July 31. $7.938. 2. July bank service charge not recorded by the depositor $52. 3. Cash balance per books, July 31, $7.974. 4. Deposits in transit, July 31. $3,310. 5. $2.626 collected for Crane Company in July by the bank through electronic funds transfer. The collection has not been recorded by Crane Company. 6. Outstanding checks, July 31, $700. Prepare a bank reconciliation at July 31, 2017. (List...
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The following information pertains to Crane Company. 1. Cash balance per books, August 31, $7,424. 2. Cash balance per bank, August 31, $7,388. 3. Outstanding checks, August 31, $689. 4. August bank service charge not recorded by the depositor $41. 5. Deposits in transit, August 31, $2,760. In addition, $2,076 collected for Crane Company in August by the bank through electronic funds transfer. The accounts receivable collection has not been recorded Crane Company. Prepare a bank reconciliation at...
Question 1 2.17/7 View Policies Show Attempt History Current Attempt in Progress The following information pertains to Waterway Video Company. 1. Cash balance per bank, July 31, $7,863. 2. July bank service charge not recorded by the depositor $37. 3. Cash balance per books, July 31, $7,884. 4. Deposits in transit, July 31, $1,800. 5. Bank collected $1,200 note for Waterway in July, plus interest $45, less fee $29. The collection has not been recorded by Waterway, and no interest...
At July 31, Ivanhoe Company has this bank informatior cash balance per bank $8.925, outstanding cheds $790, deposits in transit $1.285 and a bank service charge $50. Determine the adjusted cash balance per bank at July 31. The adjusted cash balance per bank at July 31 $
Brief Exercise 7-13 At July 31, Windsor, Inc. has the following bank information: cash balance per bank 58,070, outstanding checks $722, deposits in transit $1,481, and a bank service charge $24. Determine the adjusted cash balance per bank at July 31. Adjusted cash balance per bank Click if you would like to Show Work for this question: Open Show Work