Reference no: EM133072161
Question - Prepare Hardy Photography's bank reconciliation on November 30?, 2024.
Prepare the bank portion of the? reconciliation, followed by the book portion of the reconciliation.
Date
Nov. 1 balance: $500.
Nov. 4 check #: 622, item: quick mailing, check: $45, balance: $455.
Nov. 9 item: service revenue; deposit: $135; balance: $590.
Nov. 13 check #: 623; item: photo supplies; check: $85; balance: $505.
Nov. 14 check#: 624; item: utilities; check: $45; balance: $460.
Nov. 18 check#: 625; item: cash; check: $50; balance: $410.
Nov. 26 check#: 626; item: office suppies; check: $110; balance: $300.
Nov. 28 check #: 627; item: upstate reality co.; check: $290; balance: $10.
Nov. 30 item: service revenue; deposit: $1,235; balance: $1,245.