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Following is a list of transactions for the month of #4210

Following is a list of transactions for the month of October. Petty Cash Account (1010) and
Miscellaneous Expense Account (5100) have been added to the chart of
accounts.Assignment1. Record the transactions in appropriate journals or petty cash format.2.
Post the transactions to the general ledger accounts.3. Prepare a trial balance.Since Tony was
so busy trying to close his books, he forgot to reconcile the May, June, and July bank
statements. What follows on pages 361 and 362 is a list of all deposits and cheques written for
these three months (each entry is identified by chapter, transaction date, or transaction letter)
and bank statements for May through July. Reconciliations for August and September are not
part of this problem.Continue In Next PageReceived Statement May 28, 2013.Received
Statement June 28, 2013.Received Statement July 28, 2013.AssignmentCompare Precision
Computer Centre’s deposits and cheques with the bank statements, and complete a bank
reconciliation as of July 31.View Solution:
Following is a list of transactions for the month of

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