Site icon EssaysPrompt

Accounting Quiz

Please see Attache file for complete questions

A bank reconciliation revealed cash per the bank statement of $1,484, cash per company records of $1,681, bank charges of $11, deposits in transit of $317, outstanding checks of $221, and NSF checks of $90. The correct cash balance is?

"Get 15% discount on your first 3 orders with us"
Use the following coupon

Order Now
Exit mobile version