Prepare palmetto''s january bank reconciliation


Bank reconciliation and entries. The following information was taken from the accounting records of Palmetto Company for the month of January:
Balance per bank $6,150
Balance per company records 3,580
Bank service charge for January 20
Deposits in transit 940
Interest on note collected by bank 100
Note collected by bank 1,000
NSF check returned by the bank with the bank statement 650
Outstanding checks 3,080

Instructions:
a. Prepare Palmetto's January bank reconciliation.
b. Prepare any necessary journal entries for Palmetto.

 

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Accounting Basics: Prepare palmetto''s january bank reconciliation
Reference No:- TGS042366

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