The following information is needed to reconcile the cash balance for Woods Paper Products.
• A deposit of $5,794.62 is in transit.
• Outstanding checks total $1,533.25.
• The book balance is $5,695.62.
• The bookkeeper recorded a $1,524.00 check as $15,240 in payment of the current month's rent.
• The bank balance at February 28, 2008 was $16,500.25.
• A deposit of $300 was credited by the bank for $3,000.
• A customer's check for $1,280 was returned for nonsufficient funds.
• The bank service charge is $70.
Based on this information, complete a bank reconciliation, in the format below, for Woods Paper Products as of February 28, 2013.

Correct Answer:
Verified
Q85: Which of the following items does NOT
Q88: A company received a bank statement with
Q93: A company received a bank statement showing
Q94: The following information is available for Matt's
Q97: Please refer to the following bank reconciliation:
Q98: Please refer to the following bank reconciliation:
Q101: Please refer to the following bank reconciliation:
Q102: Please refer to the following bank reconciliation:
Q102: A point-of-sale terminal (cash register)provides control over
Q120: A basic principle of internal control over
Unlock this Answer For Free Now!
View this answer and more for free by performing one of the following actions
Scan the QR code to install the App and get 2 free unlocks
Unlock quizzes for free by uploading documents