Respuesta :
Answer:
Explanation:
Bank reconciliation
Unadjusted book balance 16,216
Add: Debit memo for service 10
Less: Credit memo for int. earned 6
True cash balance 16,220
Unadjusted book balance 15,119
Add: Outstanding check 3,276
Less: Deposit in transit 2175
True cash balance 16,220
Answer:
Bank Reconciliation Statement
Balance as per bank statement $16,216
Deposit Intransit 2,175
less Outstanding check 3,276
Balance as per cash book 15,112
Explanation:
The true cash balance equal $15,112