Question: You are doing a bank reconciliation for May, 20x1. You have a $2,785 unadjusted ledger cash balance and the following data: -Outstanding checks: No. 719, $200; No. 727, $800; No, 732, $625 -Deposits in transit, $1,200 -Check No. 742 (for repairs) written for $505 but incorrectly recorded as $550 -NSF check from a customer, $500 -Bank service charge for May, $5 -Balance per bank statement, $2,750 What dollar amount should be deducted from the balance per books? a. $460 b. $505 c. $550 d. $1,625
Question: You are doing a bank reconciliation for May, 20x1. You have a $2,785 unadjusted ledger cash balance and the following data: -Outstanding checks: No. 719, $200; No. 727, $800; No, 732, $625 -Deposits in transit, $1,200 -Check No. 742 (for repairs) written for $505 but incorrectly recorded as $550 -NSF check from a customer, $500 -Bank service charge for May, $5 -Balance per bank statement, $2,750 What dollar amount should be deducted from the balance per books? a. $460 b. $505 c. $550 d. $1,625
College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter6: Bank Accounts, Cash Funds, And Internal Controls
Section: Chapter Questions
Problem 5E
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
Transcribed Image Text:Question:
You are doing a bank reconciliation for May, 20x1. You
have a $2,785 unadjusted ledger cash balance and the
following data:
-Outstanding checks: No. 719, $200; No. 727, $800; No,
732, $625
-Deposits in transit, $1,200
-Check No. 742 (for repairs) written for $505 but
incorrectly recorded as $550
-NSF check from a customer, $500
-Bank service charge for May, $5
-Balance per bank statement, $2,750
What dollar amount should be deducted from the
balance per books?
a. $460
b. $505
c. $550
d. $1,625
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