There’s 4 entry’s The last 3 are Record the payment of an account payable which was correctly written for $2,630, but was recorded in the accounting records as $2,900 Record the amount $121 deducted for an NSF cheque from a customer deposited on November 22 Record a debit memorandum in the amount of $115 for bank service charges

FINANCIAL ACCOUNTING
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ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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There’s 4 entry’s The last 3 are Record the payment of an account payable which was correctly written for $2,630, but was recorded in the accounting records as $2,900 Record the amount $121 deducted for an NSF cheque from a customer deposited on November 22 Record a debit memorandum in the amount of $115 for bank service charges.
required for a transactionlevent, select "No Journal Entry Required" in the first account field.)
View transaction list
Journal entry worksheet
01:53:05
1
* 3
4
Record a credit memo in the amount of $950 for an EFT in payment of a
customer's account.
Note: Enter debits before credits.
Date
General Journal
Debit
Credit
Νον 30
Record entry
Clear entry
View general journal
Novd
Transcribed Image Text:required for a transactionlevent, select "No Journal Entry Required" in the first account field.) View transaction list Journal entry worksheet 01:53:05 1 * 3 4 Record a credit memo in the amount of $950 for an EFT in payment of a customer's account. Note: Enter debits before credits. Date General Journal Debit Credit Νον 30 Record entry Clear entry View general journal Novd
The following information is available for the Tierney Company for the month of November.
• On November 30, after all transactions have been recorded, the balance in the company's Cash account has a balance of
$29,002.
The company's bank statement shows a balance on November 30 of $30,179.
Outstanding cheques at November 30 include cheque #3030 in the amount of $1,795 and cheque #3556 in the amount of
$1,549.
• Included with the bank statement was a credit memo in the amount of $950 for an EFT in payment of a customer's account.
• The bank deducted $121 for an NSF cheque from a customer deposited on November 22.
• A deposit placed in the bank's night depository on November 30 totaled $1,945 and did not appear on the bank statement.
• Examination of the cheques on the bank statement with the entries in the accounting records reveals that cheque #3445 for the
payment of an account payable was correctly written for $2,630, but was recorded in the accounting records as $2,900.
• Included with the bank statement was a debit memorandum in the amount of $115 for bank service charges.
32
Transcribed Image Text:The following information is available for the Tierney Company for the month of November. • On November 30, after all transactions have been recorded, the balance in the company's Cash account has a balance of $29,002. The company's bank statement shows a balance on November 30 of $30,179. Outstanding cheques at November 30 include cheque #3030 in the amount of $1,795 and cheque #3556 in the amount of $1,549. • Included with the bank statement was a credit memo in the amount of $950 for an EFT in payment of a customer's account. • The bank deducted $121 for an NSF cheque from a customer deposited on November 22. • A deposit placed in the bank's night depository on November 30 totaled $1,945 and did not appear on the bank statement. • Examination of the cheques on the bank statement with the entries in the accounting records reveals that cheque #3445 for the payment of an account payable was correctly written for $2,630, but was recorded in the accounting records as $2,900. • Included with the bank statement was a debit memorandum in the amount of $115 for bank service charges. 32
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