Chicago Company has hired you to reconcile its bank statement and cash account.For June,the Cash account showed the following:
The June bank statement,just received,showed the following: There were neither outstanding checks nor deposits in transit at May 31.
A.Prepare the bank reconciliation.
B.Prepare the adjusting journal entries needed due to the bank reconciliation.
C.What is the June 30 ending cash balance?
Correct Answer:
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