Using the following information, record journal entries that would be necessary after preparing the bank reconciliation for Johnson Brothers. All items will not require an entry.
a)The book balance is $5,895.62.
b)Outstanding cheques total $1,233.25.
c)The bank service charge based on the bank statement is $50.
d)A customer's cheque for $500 was returned for non-sufficient funds.
e)A deposit of $3,000 was credited to Johnson Brothers for $300 by the bank.
f)The bookkeeper recorded a $1,200 cheque as $120 in payment of the current month's rent.
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