The following information is available for Trinkle Company for the month of June: 1. The unadjusted...
The following information is available for Trinkle Company for the month of June: 1. The unadjusted balance per the bank statement on June 30 was $61,205. 2. Deposits in transit on June 30 were $2,050. 3. A debit memo was included with the bank statement for a service charge of $19. 4. A $3,857 check written in June had not been paid by the bank. 5. The bank statement included a $1,500 credit memo for the collection of a note....
The following information is available for Trinkle Company for the month of June: The unadjusted balance per the bank statement on June 30 was $56,380. Deposits in transit on June 30 were $2,840. A debit memo was included with the bank statement for a service charge of $10. A $3,470 check written in June had not been paid by the bank. The bank statement included a $750 credit memo for the collection of a note. The principal of the note...
The following information is available for Trinkle Company for the month of June: 1. The unadjusted balance per the bank statement on June 30 was $53,225. 2. Deposits in transit on June 30 were $2,480. 3. A debit memo was included with the bank statement for a service charge of $8. 4. A $3,731 check written in June had not been paid by the bank. 5. The bank statement included a $1,300 credit memo for the collection of a note....
The following information is available for Trinkle Company for the month of June: 1. The unadjusted balance per the bank statement on June 30 was $57,276. 2. Deposits in transit on June 30 were $2,005. 3. A debit memo was included with the bank statement for a service charge of $29. 4. A $3,676 check written in June had not been paid by the bank. 5. The bank statement included a $1,350 credit memo for the collection of a note....
The following information is available for Trinkle Company for the month of June: The unadjusted balance per the bank statement on June 30 was $63,219. Deposits in transit on June 30 were $2,075. A debit memo was included with the bank statement for a service charge of $24. A $5,488 check written in June had not been paid by the bank. The bank statement included a $550 credit memo for the collection of a note. The principal of the note...
The following information is available for Trinkle Company for the month of June The unadjusted balance per the bank statement on June 30 was $81,500.Deposits in transit on June 30 were $3,150A debit memo was included with the bank statement for a service charge of $40.A $5,611 check written in June had not been paid by the bankThe bank statement included a $950 credit memo for the collection of a note. The principal of the note was $900, and the interest...
1. The unadjusted balance per the bank statement on June 30 was $51,646. 2. Deposits in transit on June 30 were $2,685 3. A debit memo was included with the bank statement for a service charge of $10 4. A $3,901 check written in June had not been paid by the bank 5. The bank statement included a $900 credit memo for the collection of a note. The principal of the note was $860, and the interest collected amounted to...
Help The following information is available for Trinkle Company for the month of June: 1. The unadjusted balance per the bank statement on June 30 was $57,972. 2. Deposits in transit on June 30 were $2,005. 3. A debit memo was included with the bank statement for a service charge of $7. 4. A $4,240 check written in June had not been paid by the bank. 5. The bank statement included a $1100 credit memo for the collection of a...
1. The unadjusted balance per the bank statement on June 30 was $47,300. 2. Deposits in transit on June 30 were $4,400. 3. A debit memo was included with the bank statement for a service charge of $30. 4. A $7,620 check written in June had not been paid by the bank. 5. The bank statement included a $1,800 credit memo for the collection of a note. The principal of the note was $1,680, and the interest collected amounted to...
Nickleson Company had an unadjusted cash balance of $8,977 as of May 31. The company's bank statement, also dated May 31, included a $55 NSF check written by one of Nickleson's customers. There were $468 in outstanding checks and $260 in deposits in transit as of May 31. According to the bank statement, service charges were $85, and the bank collected a $600 note receivable for Nickleson. The bank statement also showed $12 of interest revenue earned by Nickleson. Required...