I have 7 question about Bank Reconciliation Problems
like this one
. [login to view URL] received a bank statement from Lee Bank indicating a bank balance of $8,000. Based on [login to view URL]’s check stubs, the ending checkbook balance was $6,600. Your task is to prepare a bank reconciliation for [login to view URL] as of July 31, from the following information (do not provide journalize entries):
(a) Checks outstanding: no. 122, $1,000; no. 130, $690.
(b) Deposits in transit $1,110.
(c) Bank service charges $83.
(d) Lee Bank collected a note for [login to view URL], $910, less a $7 collection fee.
I am a qualified and experienced accountant and I am providing book keeping services (Financial Statements preparation and analysis, Data entry, Posting of transactions, Payroll preparation and disbursement, Bank reconciliation, Tax filling and other tasks associated with book keeping function) to various clients in UK, Australia, Canada and USA for the last 5 years. I am positive that I am the right person for this job.
Hi,my major subject is accounting.I can handle this task very well..........................................................................................
I am a Chartered Accountant. Chartered Accountancy is the highest degree awarded in the field of Accountancy.
If you award this project to me, I can finish this project in 4 to 5 hours.