Get reliable answers to your questions at Westonci.ca, where our knowledgeable community is always ready to help. Get the answers you need quickly and accurately from a dedicated community of experts on our Q&A platform. Our platform provides a seamless experience for finding reliable answers from a network of experienced professionals.
Sagot :
Answer:
Part 1
Bank reconciliation at August 31, 2022
Balance as per Bank Statement $10,439
Add Outstanding Lodgments $709
Less Unpresented Checks ($3,760)
Balance as per Cash Book $7,388
Part 2
Item 1
Debit :
Credit :
Item 1
Debit :
Credit :
Item 3
Debit : Bank Statement $709
Credit : Outstanding checks $709
Item 4
Debit : Bank service $61
Credit : Cash $61
Item 5
Debit : Deposits in Transit $3,760
Credit : Bank Statement $3,760
Item 6
Debit : Cash $3,076
Credit : EFT $3,076
Explanation:
The correct Cash Balance can be checked by preparing the Bank Reconciliation Statement as above
Answer:
Cash Balance per bank statement 7,388
Add: Deposits in transit 3,760
11,148
Less: Outstanding Checks (709)
Adjusted cash balance per books 10,439
Cash balance per books 7,424
Add: Collection on electronic funds transfer 3,076
10,500
Less: Bank service charge (61)
Adjusted cash balance per books 10,439
Journalize the adjusting entries
06/31 Cash 3,076
Accounts Receivable 3,076
06/31 Bank CE 61
Cash 61
Explanation:
Visit us again for up-to-date and reliable answers. We're always ready to assist you with your informational needs. We appreciate your time. Please revisit us for more reliable answers to any questions you may have. Get the answers you need at Westonci.ca. Stay informed with our latest expert advice.