Prepare a bank reconciliatio for xyz company


Problem: Prepare a bank reconciliation for XYZ Company at September 30 using the following information:

Balance per XYZ Company bank statement at September 30. $ 7,351.10
Outstanding checks 5,645.45
NSF checks from customers 444.22
Deposits in transit 7,135.46
Interest Revenue 100.00
Service charge 230.30

Cash balance per XYZ's records at September 30 9,415.63

Solution Preview :

Prepared by a verified Expert
Accounting Basics: Prepare a bank reconciliatio for xyz company
Reference No:- TGS01915492

Now Priced at $20 (50% Discount)

Recommended (90%)

Rated (4.3/5)