題組內容

III.. (…continued)
6168f8b67654e.jpg
Examination of the checks on the bank statement with the entries in the accounting records reveals that
check #2906 for the payment of an account payable was correctly written for $3,850, but was recorded
in the accounting records as $3,580.
Required: 

2. Prepare the necessary general journal entries to adjust cash to the reconciled balance.