Log in

View Full Version : Bank reconciliation, Accounting


tinymattie
Dec 8, 2008, 10:11 PM
Receipts from cash sales of $9500 were recorded incorrectly in the cash receipts journal as $5900. This item would be included on the bank reconciliation as a(n)

stevetcg
Dec 9, 2008, 06:37 AM
A homework assignment?

pready
Dec 12, 2008, 05:06 PM
Error. You need to do an adjusting entry

Debit Cash for 3,600
Credit Sales Revenue for 3,600