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socialight
Nov 27, 2007, 12:41 PM
wanting help becasue my reconcilitaion isn't matching:
kortwright indiacates a balance of 9000.2 on october 30 and after the journals had been posted the cash had a balance of 4677.1, please reconcile by the following:
1. cash sale of 342 had been wrong ly recorded as 324
2 depoits in transits not received yet of 700.00
3 bank debit memo for service charge of 30.
4. bank credit memo for note collected 2050, including 50 interest
5 bank debit memo for 207.40NSF check for custoemr
6 outstanding checks 3192.50

i have cr 9000.2 for beginning balace and then 700.00 for deposit in route and then i have 3192. outstand checks and 18. in erro on debits leaves 6490.20
then cash 4667.10
30 debit and 2050.00 debit now i am confused with what i have help???????

qcmar24
Nov 27, 2007, 01:21 PM
wanting help becasue my reconcilitaion isn't matching:
kortwright indiacates a balance of 9000.2 on october 30 and after the journals had been posted the cash had a balance of 4677.1, please reconcile by the following:
1. cash sale of 342 had been wrong ly recorded as 324
2 depoits in transits not received yet of 700.00
3 bank debit memo for service charge of 30.
4. bank credit memo for note collected 2050, including 50 interest
5 bank debit memo for 207.40NSF check for custoemr
6 outstanding checks 3192.50

i have cr 9000.2 for beginning balace and then 700.00 for deposit in route and then i have 3192. outstand checks and 18. in erro on debits leaves 6490.20
then cash 4667.10
30 debit and 2050.00 debit now i am confused with what i have help???????
Ok This what you need to do
Bank balance..............................$9,000.2....Book balance..........$4,677.1
Add............................................................Add
Deposit on transit........................700...........Sale wrongly record..18
..................................................................Note collected...........2,000
..................................................................Interest revenue.......50
.................................................$9,700.2..................................$6,745.1
Deduct........................................................Deduct
Outstanding checks.....................3,192.5.....Service charges.........30
.................................................................NSF Check................207.4
Balance after adjustments..........$6,507.7.....Balance aft. adjust......$6,507.7

Hope that after seeing the answer everything will be clear to you