Sally Rice is unable to reconcile the bank balance as of January 31. Here is...

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Accounting

Sally Rice is unable to reconcile the bank balance as of January 31. Here is Sally's reconciliation. 

Cash balance by bank $4,388.20 

Plus: NSF check 483.00 

Less: Bank service charge 41.28 

Adjusted balance by bank $4,829.92 

Cash balance by books $4,686.20 

Less: Deposits in transit 576.72 

Plus: Outstanding checks 803.00 

Adjusted balance by books $4,912.48 

Required

(a) Which Is the adjusted balance adequate cash balance per bank? 

(b) What is the adjusted cash balance appropriated by books? 

(c) Prepare the adjusting journal entries necessary to determine the adjusted book cash balance. 


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