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Published byDina Beasley Modified over 8 years ago
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Lesson Four- Objective: Complete month two of the checking account simulation
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Check Register February DateNo.Checkbook EntryDebit (-)Credit (+)345.24 2/3109Internet Connections108237.24 2/5POSDebit Card at Grocery Store96.40140.84 2/8110National Electric Co32.81108.03 2/10111IRS67.1440.89 2/11DDeposit759.52800.41 2/12112Dental Associates60740.41 2/18ATMWithdrawal50690.41 2/25113Colonial Apartments450240.41 2/28ATPhone Bill payment transfer38.65201.76
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Reconciliation Process 201.76 Checkbook Register No changes 201.76 Adjusted 791.48 Bank Statement -589.72 (OC) No deposits Outstanding 201.76 Adjusted
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Quiz on Reconciliation Process Tomorrow Use of Tee Accounts Bank and Checkbook balances, you find the adjusted balances. Closure: Debit on the __________, Credit on the _______.
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