Prepare a bank reconciliation and necessary journal entries for Binger Company the following information relates to binger company’s cash account and October bank statement Balance per bank, Oct 31, 2017 $9916
Prepare a bank reconciliation and necessary journal entries for Binger Companythe following information relates to binger company’s cash account and October bank statement Balance per bank, Oct 31, 2017 $9916 Balance per books, Oct 31, 2017 $11,386 Outstanding checks $1915 Deposits in transit $1,310 Check of Zinger Company deducted from binger’s account in error, $416 […]