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On March 31, 2019, Home Decorating Pavilion received a bank statement showing a balance of $9,670. The balance in the firm's checkbook and Cash account on the same date was $9,832. The difference between the two balances is caused by the items listed below.

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4 votes

Answer:

70.2 not sure tho

Step-by-step explanation:

User Draco
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1 vote

Answer:

Explanation: The difference between the 2 balances is as a result of the below stated items

1. Bank charges not recorded in the company's books

2. Unrecorded drawings not recorded in the company's books

3. Any other charges not noted by the company in its books

User Geet
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