DESCRIPTION OF TRANSACTION DEBIT (-) $150.40 (IFANY) CREDIT (+) (-) %24 DATE BALANCE $ 4,810.00 2015 7/7 NUMBER 959 AT+T -150.40 4,659.60 -69.60 960 7/15 Staples 69.60 4,590.00 845.00 5,435.00 -518.38 7/19 Deposit 845.00 961 7/20 West Electric 518.38 4,916.62 -388.04 4,528.58 445.40 962 7/24 Bank of America 388.04 7/29 Deposit 445.40 $ 4,973.98 BANK STATEMENT Deposits Balance $4,810.00 Checks Date 7/1 balance 4, 659.60 5, 504.60 5,116.56 5, 101.16 7/18 $150.40 7/19 $845.00 388.04 5.40 SC 7/26 7/30 BANK RECONCILIATION 5101.16 Bank balance Add: 4973.98 Lee.com checkbook balance 445.40 Deposit in transit Deduct: Deduct: Service charge 15.40 Outstanding checks (total) 24 $ 4958.58 Ending bank balance Ending checkbook balance

Quickbooks Online Accounting
3rd Edition
ISBN:9780357391693
Author:Owen
Publisher:Owen
Chapter4: Operating Activities: Sales And Cash Receipts
Section: Chapter Questions
Problem 2.4C
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DESCRIPTION OF
TRANSACTION
DEBIT
(-)
$150.40
(IFANY) CREDIT
(+)
%24
DATE
BALANCE
(-)
%24
%24
NUMBER
959
4,810.00
-150.40
4,659.60
-69.60
2015
7/7
AT+T
960
7/15
Staples
69.60
4,590.00
845.00
7/19
Deposit
845.00
5,435.00
-518.38
961
7/20
West Electric
518.38
4,916.62
-388.04
962
7/24
Bank of America
388.04
ok
4,528.58
445.40
7/29
Deposit
445.40
nt
$ 4,973.98
ences
BANK STATEMENT
Checks
Balance
$4,810.00
4, 659.60
5,504.60
5,116.56
5, 101.16
Date
Deposits
7/1 balance
$150.40
7/18
7/19
$845.00
7/26
388.04
7/30
15.40 SC
BANK RECONCILIATION
%24
5101.16
2$
4973.98
Bank balance
Lee.com checkbook balance
Add:
445.40
Deposit in transit
Deduct:
Deduct:
15.40
Outstanding checks (total)
Service charge
%24
$
4958.58
Ending bank balance
Ending checkbook balance
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Transcribed Image Text:DESCRIPTION OF TRANSACTION DEBIT (-) $150.40 (IFANY) CREDIT (+) %24 DATE BALANCE (-) %24 %24 NUMBER 959 4,810.00 -150.40 4,659.60 -69.60 2015 7/7 AT+T 960 7/15 Staples 69.60 4,590.00 845.00 7/19 Deposit 845.00 5,435.00 -518.38 961 7/20 West Electric 518.38 4,916.62 -388.04 962 7/24 Bank of America 388.04 ok 4,528.58 445.40 7/29 Deposit 445.40 nt $ 4,973.98 ences BANK STATEMENT Checks Balance $4,810.00 4, 659.60 5,504.60 5,116.56 5, 101.16 Date Deposits 7/1 balance $150.40 7/18 7/19 $845.00 7/26 388.04 7/30 15.40 SC BANK RECONCILIATION %24 5101.16 2$ 4973.98 Bank balance Lee.com checkbook balance Add: 445.40 Deposit in transit Deduct: Deduct: 15.40 Outstanding checks (total) Service charge %24 $ 4958.58 Ending bank balance Ending checkbook balance Next > < Prev 3 of 4
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