Shown below is a partially completed bank reconciliation for Hubbard Transport at August 31, as well as additional data necessary to answer the questions that follow.
HUBBARD TRANSPORT
Bank Reconciliation
August 31, Year 1
Additional information
a) Outstanding checks: no. 729, $1,253; no. 747, $245; no. 752, $781.
b) Check no. 742 (for repairs) was written for $398 but erroneously recorded in Hubbard's records as $839.
c) Deposits in transit, $2,254.
d) Note collected by the bank and credited to Hubbard's account, $4,800.
e) NSF check of C. Craig, one of Hubbard's customers, $1,525.
f) Bank service charge for August, $35.
-In Hubbard's completed bank reconciliation at August 31, what dollar amount should be deducted from the balance per depositor's records (indicated by 4 above) ?
A) $2,254.
B) $2,001.
C) $1,525.
D) $1,560.
Correct Answer:
Verified
Q3: Which of the following items is reported
Q4: Fair value is the balance sheet valuation
Q5: Cash equivalents:
A) Include amounts of cash available
Q6: Shown below is a partially completed bank
Q7: Shown below is a partially completed bank
Q9: Shown below is a partially completed bank
Q10: Shown below is a partially completed bank
Q11: You are to complete the June 30
Q12: Prepare the journal entry to correct Huang's
Q13: After aging its accounts receivable
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