Problem 3-7 (IAA) Bedlam Company provided the following dats for the month of December November 0 December 21 Cash in bank account balance Bank statement balance Bank debita Bank credite Book debita Book credita Outatanding checks Deposit in trariait Check erroneoualy charged by bank against entity's accoint and eorrected in subeequent month Bank service charge Note recorded as csh reoript by entity when placed with hank for collection and note is actually collected by bank in subenguent month and credited by bank to entity's account in same month 2.032 000 160.000 2160.000 2.500000 1080.000 1.440000 180 000 80,000 W.000 408.000 50.000 4.000 0.000 2.000 200000 300.000 Required: a. Prepare a four-column reconeiliation ahowing adjuster balances. b Prepare one adjusting entry only on December 31

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Chapter1: Financial Statements And Business Decisions
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Problem 3-7 (IAA)
Bedlsm Company provided the following dats for the month
of December:
November 30 December 21
Cash in bank account balance
Bank statement balance
Bank debita
Bank credite
Book debita
Book credita
Outatanding checks
Deposit in trariait
Check erroneoualy charged by
bank againat entity's accoint
and corrected in subeeguent month
Bank aervice charge
Note recorded as csh reoript by
2002.000
1.90,000
2.160.000
2500,000
1080000
1.44000
02.000
8.000
180 000
80000
0.000
50.000
4.000
2000
entity when placed with hank
for collection and note is actually
collected by bank in subuequent
month and credited by bank to
entity's account in aame month
200.000
300.000
Required:
a. Prepare a four-column reconeiliation ahowingr adjusted
balances.
b Prepare one adjusting entry only on December 31.
Transcribed Image Text:Problem 3-7 (IAA) Bedlsm Company provided the following dats for the month of December: November 30 December 21 Cash in bank account balance Bank statement balance Bank debita Bank credite Book debita Book credita Outatanding checks Deposit in trariait Check erroneoualy charged by bank againat entity's accoint and corrected in subeeguent month Bank aervice charge Note recorded as csh reoript by 2002.000 1.90,000 2.160.000 2500,000 1080000 1.44000 02.000 8.000 180 000 80000 0.000 50.000 4.000 2000 entity when placed with hank for collection and note is actually collected by bank in subuequent month and credited by bank to entity's account in aame month 200.000 300.000 Required: a. Prepare a four-column reconeiliation ahowingr adjusted balances. b Prepare one adjusting entry only on December 31.
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