Zegeyeche new yayehut Fetary yebarkeh wondme berta betam ariff new
@ethioaccountingstaff3 жыл бұрын
Amen thank you for your appreciation and interested
@DerejeKetema-bb2gw Жыл бұрын
Please solve this questions RAM Company maintains its checking account with the Commerce Bank. The company is ready to prepare its December 31 bank reconciliation. The following data are available: The November 30 bank reconciliation showed the following: Cash on hand (held by RAM company for day to day minor expenses), Br. 400 (included in RAM’s cash account) Deposit in transit, Br. 2,000, and Checks outstanding: N0. 121 Br. 1,000 No. 130 2,000 No. 142 3,000 Bank Statement, December 31: Balance, December 31 Br. 67,600 Deposits: 188,500 Checks: No. 130, Br. 2,000; N0. 142, Br. 3,000; N0. 143 - 176, Br. 191,000 (196,000) Note collected for RAM company (including Br. 720 interest) 16,720 NSF check, customer Binda (250) Bank service charges (20) Balance, December 31 Br. 76,550 Required: i) Determine deposit in transit and checks outstanding ii) Prepare the December 31 Bank reconciliation iii) Based on your bank reconciliation, give all journal entries that should be made at December 31.
@TabitaTabo3 ай бұрын
አርፍ ነው ግን ጅብ ከየት መጣ ፈራሁ እናም በርታ 🥰💯
@lemudave86228 ай бұрын
Tnx's brother,,,,,it's good job
@ethioaccountingstaff3 жыл бұрын
this video shows you how to reconcile bank statement in simple way with example. i hope this tutorial helps you to understand all about bank reconciliation please like and share this video if you are satisfied, make Sure to subscribe my channel bit.ly/3c35N3F please, let me know anything in the comment box
@getachewmelkam2 жыл бұрын
thank you very much it is amazing tutorial
@ethioaccountingstaff2 жыл бұрын
Thank you🙏💕
@mohammedhussen7920 Жыл бұрын
its good keep it up
@ethioaccountingstaff Жыл бұрын
Thank you, I will
@YeshitilaBirhanu-m9k11 ай бұрын
Wwww betam xiru new
@MekdesDechasa-s3g Жыл бұрын
Eeee😮ye jbu dms yesema ale😂😊
@abiyotwondemu84402 жыл бұрын
It's a good job.Thanks
@ethioaccountingstaff2 жыл бұрын
Thank you brother.. Keep up to watch videos and share to your friends
@endalkachewmisganawabate40852 жыл бұрын
I saw It lately..keep it up...but Ending Book Balance not correct!!
Excise tax receipt peachtree lay endet new yemimezegebew ebakhn 🙏
@GosaDereje-qn5vq8 ай бұрын
deposit balance 21537.2 ketti amataak ante 21540.1 balance
@AdeloShiferawu11 ай бұрын
Nice
@hailewolde5252Ай бұрын
Betam enamesegnalen
@mebratgebrehiwot60942 жыл бұрын
Thanks bro
@betelehemfekade15112 жыл бұрын
The result is not equal ! The depositor amount is 21537.2 the result of the correct cash balance per bank and correct cash balance per depositor is not equal.
@golinatube84072 жыл бұрын
Peachtree lay endiet nemzgbew pls tell me
@asterdejene51143 жыл бұрын
good job
@ethioaccountingstaff3 жыл бұрын
Thank you
@elizabethabebe9593 жыл бұрын
The question says the balance in depositors record is 21,537.20 how come did u say the balance is 21,540 when your doing the reconciliation I really didn't get it?
@ethioaccountingstaff2 жыл бұрын
I realy sorry , the correct company ending balance is 21,540.1 in stead of 21,537.2
@abdumamed66022 жыл бұрын
@@ethioaccountingstaff you should clarify such errors on the video for the future, that was very misleading and confusing as well