Journalize the appropriate entries as needed


From the following statement, please (1) complete bank reconciliation for Jimmy's Deli found on the reverse of the bank statement and (2) journalize the appropriate entries as needed.

A. A deposit of $2,300 is in transit

B. Jimmy's Deli has an ending ceck balance of $4470

C. Checks Outstanding no.111 $950 no. 119 $1160; no. 121 $280

D. Stanley Pennant's check for $1500 bounced due to lack of sufficient funds

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Rio Mean Branch

Bugna Texas

Jimmy's Deli

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Old Balance Checks and other Deposits Date New Balanace withdrawals in order of payement

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5,300 2/2 5,300

70.00 230.00 2/3 5,000

110.00 360.00 2/10 5,250

540.00 530.00 2/15 5,240

1,500.00 NSF 270.00 2/20 4,010

1,350.00 1,250.00 2/24 3,910

570.00 60.00 SC 160.00 2/28 3,440

Old balance: 5,300

Date: 2/2

New Balanace: 5,300

Checks and other withdrawals in order of payement: 70.00 230.00

Date: 2/3

New Balanace: 5,000

Checks and other withdrawals in order of payement: 110.00

Deposits: 360.00

Date: 2/10

New Balanace: 5,250

Checks and other withdrawals in order of payement: 540.00

Deposits: 530.00

Date: 2/15

New Balanace: 5,240

Checks and other withdrawals in order of payement: 1500.00 NSF

Deposits: 270.00

Date: 2/20

New Balanace: 4,010

Checks and other withdrawals in order of payement: 1350.00

Deposits: 1250.00

Date: 2/24

New Balanace: 3,910

Checks and other withdrawals in order of payement: 770.00 60.00 SC

Deposits: 160.00

Date: 2/28

New Balanace: 3,440

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Accounting Basics: Journalize the appropriate entries as needed
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