Madrid Consulting, Inc Madrid Consulting, Inc prepared a bank reconciliation as of March 31, 2011. The following items were identified. Madrid's bank statement balance $31,400 Unadjusted cash balance from Madrid's records ? Deposit in transit 1,800 Outstanding checks 4,500 Bank service charges 100 Interest earned on the bank account 85 Customer's NSF check returned by the bank 450 Refer to the
information provided for Madrid Consulting, Inc What is Madrid's unadjusted cash balance in its accounting records at March 31st before the reconciliation was completed?
A) $28,700
B) $29,165
C) $28,300
D) $29,600
B
You might also like to view...
Anti-assignment clause in a contract prohibits the assignment of rights under the contract
Indicate whether the statement is true or false
In the European Union, if there is no written contract, compensation is based on customary practice in the location where an agent is acting
Indicate whether the statement is true or false
Which category would a flexible and externally focused company be called on the competing values framework? Describe and give an example of this type of company.
What will be an ideal response?
What do most business writers use as the first sentence in a paragraph?
A) Supporting sentence B) Transitional sentence C) Topic sentence D) Pivoting sentence