***PLEASE ANSWER QUESTION AGAIN (SOMEONE ELSE)- FIRST
ONE WAS ANSWERED INCORRECTLY
The cash records of Jasmin Company show the following four
situations:
1) The June 30 bank reconciliation indicated that deposits in
transit total $2,110. During July the general ledger account Cash
shows deposits of $23,620, but the bank statement indicates that
only $23,400 in deposits were received during the month.
2) The June 30 bank reconciliation also reported outstanding
checks of $1,250. During the month of July, Jasmin Company...