ACC 205 Week 2 Exercise 6 Bank reconciliation and entries

ACC 205 Week 2 Exercise 6 Bank reconciliation and entries Bank reconciliation and entries. The following information was taken from the accounting records of Palmetto Company for the month of January: Balance per bank $6,150 Balance per company records 3,580 Bank service charge for January 20 Deposits in transit 940 Interest on note collected by […]

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