ACC 291 Inspiring Minds/newtonhelp.com - PowerPoint PPT Presentation

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ACC 291 Inspiring Minds/newtonhelp.com

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For more course tutorials visit Uophelp is now newtonhelp.com www.newtonhelp.com ACC 291 Week 3 Practice Connect Practice Assignment attempt 1 1 Florence Company received a bank statement showing a balance of $13,550 on November 30, 2019. During the bank reconciliation process, Florence’s accountant noted the following bank errors: A check for $265 issued by Florentine, Inc., was mistakenly charged to Florence Company’s account. Check 2782 was written for $200 but was paid by the bank as $1,200. – PowerPoint PPT presentation

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Title: ACC 291 Inspiring Minds/newtonhelp.com


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ACC 291 Inspiring Minds/newtonhelp.com
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ACC 291 Week 3 Practice Connect Practice
Assignment (100 Score)
  • For more course tutorials visit
  • uophelp.com is now newtonhelp.com
  • www.newtonhelp.com
  • ACC 291 Week 3 Practice Connect Practice
    Assignment
  • attempt 1
  • 1
  • Florence Company received a bank statement
    showing a balance of 13,550 on November 30,
    2019. During the bank reconciliation process,
    Florences accountant noted the following bank
    errors

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ACC 291 Week 4 Apply Connect Assignment (With
Excel file)
  • For more course tutorials visit
  • uophelp.com is now newtonhelp.com
  • www.newtonhelp.com
  • This Tutorial contains an Excel File which can be
    used for any change in values (CONTAINS ALL
    QUESTIONS, SCROLL DOWN TO CHECK)
  • Assignment 1
  • a.-b. Merchandise Inventory, before adjustment,
    has a balance of 6,600. The newly counted
    inventory balance is 7,100.

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ACC 291 Inspiring Minds/newtonhelp.com
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