Journalize adjusting enteries at July 31 on the books of Crane Company (do not indent manually)

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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Journalize adjusting enteries at July 31 on the books of Crane Company (do not indent manually) 

41
A ssa7
Bank service charge
9459
Adjusted cash balance per books v
SHOW LIST OF ACCOUNTS
LINK TO TEXT
X Your answer is incorrect. Try again.
purnalize the adjusting entries at July 31 on the books of Crane Company. (Credit account titles are automatically indented when amount is
Date Account Titles and Explanation
Debit
Credit
uly 31
(To record electronic funds transfer received by bank)
uly 31
(To record bank service charge)
ick if you would like to Show Work for this question: Open Show Work
SHOW LIST OF ACCOUNTS
LINK TO TEXT
Transcribed Image Text:41 A ssa7 Bank service charge 9459 Adjusted cash balance per books v SHOW LIST OF ACCOUNTS LINK TO TEXT X Your answer is incorrect. Try again. purnalize the adjusting entries at July 31 on the books of Crane Company. (Credit account titles are automatically indented when amount is Date Account Titles and Explanation Debit Credit uly 31 (To record electronic funds transfer received by bank) uly 31 (To record bank service charge) ick if you would like to Show Work for this question: Open Show Work SHOW LIST OF ACCOUNTS LINK TO TEXT
1.
Cash balance per bank, July 31, $7,388.
July bank service charge not recorded by the depositor $41.
Cash balance per books, July 31, $7,424.
2.
3.
Deposits in transit, July 31, $2,760.
$2,076 collected for Crane Company in July by the bank through electronic fundst
Outstanding checks, July 31, $689.
4.
5.
6.
Your answer is corect.
Prepare a bank reconciliation at July 31, 2017. (List items that increase balance as
CRANE COMPANY
Bank Reconciliation
July 31, 2017
Cash balance per bank statement v
7388
Deposits in transit
2760
10148
A sSa
Outstanding checks
689
9459
Adjusted cash balance per bank
Cash balance per books
7424
Electronic funds transfer received v
2076
9500
A Sse
Bank service charge
41
9459
Adjusted cash balance per books v
Transcribed Image Text:1. Cash balance per bank, July 31, $7,388. July bank service charge not recorded by the depositor $41. Cash balance per books, July 31, $7,424. 2. 3. Deposits in transit, July 31, $2,760. $2,076 collected for Crane Company in July by the bank through electronic fundst Outstanding checks, July 31, $689. 4. 5. 6. Your answer is corect. Prepare a bank reconciliation at July 31, 2017. (List items that increase balance as CRANE COMPANY Bank Reconciliation July 31, 2017 Cash balance per bank statement v 7388 Deposits in transit 2760 10148 A sSa Outstanding checks 689 9459 Adjusted cash balance per bank Cash balance per books 7424 Electronic funds transfer received v 2076 9500 A Sse Bank service charge 41 9459 Adjusted cash balance per books v
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