EX 8-19 Entries for bank reconciliation
Using the data presented in Exercise 8-18, journalize the entry or entries that should be made by the company.
Answer:
Cash ................................................................... 450
Accounts Payable........................................................ 450
Miscellaneous Administrative Expense............... 50
Cash............................................................................... 50
Answer:
Cash ................................................................... 450
Accounts Payable........................................................ 450
Miscellaneous Administrative Expense............... 50
Cash............................................................................... 50