Answer :
Part B) The adjusting journal entries to the accounts of Banners Inc. are as follows:
Debit Bank Charges $50
Credit Cash $50
- To record the bank charges.
Debit Cash $4,000
Credit Notes Receivable $4,000
- To record the receipt of the notes.
Debit Cash $396
Credit Accounts Payable $396
- To reverse an overstated check entered as $915 instead of $519.
Debit Accounts Receivable $200
Credit Cash $200
- To record an NSF check from a customer.
Analysis of Transactions Affecting the Banners Records:
Bank Charges $50 Cash $50
Cash $4,000 Notes Receivable $4,000
Cash $396 Accounts Payable $396
Accounts Receivable $200 Cash $200
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