Prior Info: Bill Murrays Company Information Cash Balance from the Bank Statement (12/31) - $17,215.89 Cash Balance from the Books (12/31) – $15,321.00 NSF (bounced) check returned with bank statement $1,000.22 Note Collected by bank on Bill Murray' behalf $200.55 Interest on note also collected by bank for Bill Murray $20.66 Bank Service Charge $45 Outstanding Checks $4,000.10 Deposits in Transit $1,281.20 SAME INFO AS PRIOR QUESTION Bill Murrays Company Information Cash Balance from the Bank Statement (12/31) - $17,215.89 Cash Balance from the Books (12/31) – $15,321.00 NSF (bounced) check returned with bank statement $1,000.22 Note Collected by bank on Bill Murray behalf $200.55 Interest on note also collected by bank for Bill Murray $20.66 Bank Service Charge $45 Outstanding Checks $4,000.10 Deposits in Transit $1,281.20 What is the net journal entry to the cash account for Murrays relating to the bank reconciliation? Enter a positive if it is a net debit and a negative if it is a net credit.
Prior Info:
Bill Murrays Company Information
Cash Balance from the Bank Statement (12/31) - $17,215.89
Cash Balance from the Books (12/31) – $15,321.00
NSF (bounced) check returned with bank statement $1,000.22
Note Collected by bank on Bill Murray' behalf $200.55
Interest on note also collected by bank for Bill Murray $20.66
Bank Service Charge $45
Outstanding Checks $4,000.10
Deposits in Transit $1,281.20
SAME INFO AS PRIOR QUESTION
Bill Murrays Company Information
Cash Balance from the Bank Statement (12/31) - $17,215.89
Cash Balance from the Books (12/31) – $15,321.00
NSF (bounced) check returned with bank statement $1,000.22
Note Collected by bank on Bill Murray behalf $200.55
Interest on note also collected by bank for Bill Murray $20.66
Bank Service Charge $45
Outstanding Checks $4,000.10
Deposits in Transit $1,281.20
What is the net
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