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Bank Reconciliation and Entries The cash account for American Medical Co. at April 30 indicated a balance of $10,205. The ban

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Answer #1
Bank reconcilation
Balance as per bank 11,690
Add:
Deposit in transit 4,380
Erroneously charged by bank 540 4,920
16,610
less:
Checks outstanding 4,210
Adjusted balance as per bank 12,400
Balance as per books 10,205
Add:
Note collected 2,280
12,485
less:
Error in recording 50
Bank service charge 35 85
Adjusted cash balance 12,400
2) Entries
Accounting titles & explanation Debit Credit
Cash 2,280
note receivable 2,160
interest income 120
miscellaneous expense 35
accounts payable 50
cash 85
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