Journal Entries for Various Transactions - (a) journalize and post the march transactions. use page j1 for the journal and the three column form of account.
(b) trial balance $17,500 (b) prepare a trial balance at march 31 on a work sheet.
( ...
Prepare a bank reconciliation and journalize adjusting entries - The following information pertains to Worthy Video Company.
1. Cash balance per bank, July 31, $7,263.
2. July bank service charge not recorded by the depositor $28.
3. Cash balance per books, July ...