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-   -   Reconciling bank account (https://www.askmehelpdesk.com/showthread.php?t=322359)

  • Feb 26, 2009, 10:29 AM
    tracyleerich
    Reconciling bank account
    The following information is available for use in reconciling the bank account for July:

    a.Cash balance according to the depositor's records at July 31, $10,840.82
    b.Cash balance according to the bank statement at July 30, $9,675.24
    c.Bank service charges, $34
    d.Outstanding checks at July 31, $1,452.40
    e.A deposit for $876.20 was erroneously credited to the depositor's account by the bank for $87.62
    f.Customer's NSF check returned by the bank, $45.20
    g.Deposit in transit at July 31, $1,840.20
    h.A check written for $230 in payment of an account payable was incorrectly recorded by the depositor for $320

    (1)Prepare a bank reconciliation.
    (2)Prepare any necessary entries in the depositor's records.
    (3)What is the balance in the cash account after the entries are recorded?
  • Mar 1, 2009, 12:03 PM
    pready

    Do your work first, then if you have a question we will try to help you.

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