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No handwritings
ank Reconciliation Components Identify the requested amount in each of the following situations: LO5 Munsing Companys May 31 bank reconciliation shows deposits in transit of $1,200. The gen eral ledger Cash in Bank account shows total cash receipts during June of $55,600. The June bank statement shows total cash deposits of $54,300 (and no credit memos). What amount of deposits in transit should appear in the June 30 bank reconciliation? Sandusky Companys August 31 bank reconciliation shows outstanding checks of $1,900. The general ledger Cash in Bank account shows total cash disbursements (all by check) during Sep- tember of $49,800. The September bank statement shows $49.200 of checks clearing the bank. What amount of outstanding checks should appear in the September 30 bank reconciliation? Fremont Corporations March 31 bank reconciliation shows deposits in transit of $700. The general ledger Cash in Bank account shows total cash receipts during April of $41,000. The April bank statement shows total cash deposits of $37,100 (including $1,100 from the col- lection of a note; the note collection h deposits in transit should appear in the April 30 bank reconciliation? b. c. as not yet been recorded by Fremont). What amount of
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