From the following information, what is the balance of the bank reconciliation for Everest Ltd for 31 July. 1. The bank statement balance is $2,306. 2. The cash account balance is $2,930 3. Outstanding cheques totalled $585. 4. Outstanding deposit $1,175. 5.

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
Publisher:OpenStax
Chapter8: Fraud, Internal Controls, And Cash
Section: Chapter Questions
Problem 9EA: Using the following information, prepare a bank reconciliation. Bank balance: $4,587 Book balance:...
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From the following information,
what is the balance of the bank
reconciliation for Everest Ltd for 31
July. 1. The bank statement balance
is $2,306. 2. The cash account
balance is $2,930 3. Outstanding
cheques totalled $585. 4.
Outstanding deposit $1,175. 5.
Transcribed Image Text:From the following information, what is the balance of the bank reconciliation for Everest Ltd for 31 July. 1. The bank statement balance is $2,306. 2. The cash account balance is $2,930 3. Outstanding cheques totalled $585. 4. Outstanding deposit $1,175. 5.
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