it in transit 2,950 Note collection -1,730 Check printing Outstanding checks Adjusted bank balance 538,863 $38,863 Adjusted book balance
One of the adjusting journal entries that Great Falls must record as a result of the bank reconciliation includes______________.
a. Debit Cash $2,950; credit Accounts Receivable $2,950.
b. Debit Miscellaneous Expense $35; credit Accounts Payable $35.
c. Debit Cash $745; credit Note Receivable $745.
d. Debit Cash $2,950; credit Sales $2,950.
e. Debit Note Payable $745; credit Cash $745.