The following information pertains to the Cash account of th

The following information pertains to the Cash account of the Vader Corporation for the month of October 2007:Bank StatementBalance, October 31      $22,639.54Service charge for October  $10NSF check returned with October bank statement $174.50Note Recievable collected by bank not recorded on books $1500Interest on note collected by bank not previously on the books 50.0BooksBalance, October 31 ?Cash on hand awaiting deposit    $1,874.18Outstanding Checks:#257        $42,17#271         19.19#272          80.82                           $ 142.18Deposits in transit                         $2,220.90question1. What is the cash balance per book before adjustment as of October 31, 2007?2. Prepare the adjusting entries to update the cash balance.

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