Jane Co. is preparing its September 30, 20x1 bank reconciliation. Relevant information is shown below: Balance per books Balance per bank statement Collection on note by bank (including # 250 interest) NSF check returned by bank Bank service charges for December Deposits in transit Outstanding checks (including certified checks of #100) 1,480 2,800 2,500 500 70 2,200 1,000 • A P600 loan amortization of Jane Co. was erroneously debited by the bank to Tarzan Co.'s account. Jane made the correct entry. • A $650 collection of accounts receivable was erroneously recorded in the books as #560. The actual amount deposited to the bank is $650. The compound entry to reconcile the accounts includes a

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
Publisher:OpenStax
Chapter8: Fraud, Internal Controls, And Cash
Section: Chapter Questions
Problem 11EB: Using the following information, prepare a bank reconciliation. Bank balance: $12,565. Book...
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O net debit to cash for $2,020
O net debit to accounts receivable for $590
net credit to cash for $700
O credit to notes receivable for $2,500
Transcribed Image Text:O net debit to cash for $2,020 O net debit to accounts receivable for $590 net credit to cash for $700 O credit to notes receivable for $2,500
Jane Co. is preparing its September 30, 20x1 bank reconciliation. Relevant information is
shown below:
Balance per books
Balance per bank statement
Collection on note by bank (including # 250 interest)
NSF check returned by bank
Bank service charges for December
Deposits in transit
Outstanding checks (including certified checks of #100
1,480
2,800
2,500
500
70
2,200
1,000
• A $600 loan amortization of Jane Co. was erroneously debited by the bank to
Tarzan Co.'s account. Jane made the correct entry.
The compound entry to reconcile the accounts includes a
• A $650 collection of accounts receivable was erroneously recorded in the books
as $560. The actual amount deposited to the bank is $650.
Transcribed Image Text:Jane Co. is preparing its September 30, 20x1 bank reconciliation. Relevant information is shown below: Balance per books Balance per bank statement Collection on note by bank (including # 250 interest) NSF check returned by bank Bank service charges for December Deposits in transit Outstanding checks (including certified checks of #100 1,480 2,800 2,500 500 70 2,200 1,000 • A $600 loan amortization of Jane Co. was erroneously debited by the bank to Tarzan Co.'s account. Jane made the correct entry. The compound entry to reconcile the accounts includes a • A $650 collection of accounts receivable was erroneously recorded in the books as $560. The actual amount deposited to the bank is $650.
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