Westonci.ca makes finding answers easy, with a community of experts ready to provide you with the information you seek. Experience the ease of finding accurate answers to your questions from a knowledgeable community of professionals. Get precise and detailed answers to your questions from a knowledgeable community of experts on our Q&A platform.
Sagot :
### Step-by-Step Solution
#### 1. Initial Balances
The first step is to establish the initial balances as mentioned:
- Cash book balance: 20,502 birr
- Bank statement balance: 22,190 birr
#### 2. Deposits Not Appeared on Bank Statement
There's a deposit of 3,680 birr that has not appeared on the bank statement. This implies the bank statement does not show the actual balance that should include this deposit.
#### 3. Cheques Written and Not Yet Cleared
The cheques written that have not yet been cleared by the bank are:
- Cheque \#7347: 150 birr
- Cheque \#7348: 4,820 birr
- Cheque \#7349: 31 birr
The total amount of these cheques is:
[tex]\[ 150 + 4820 + 31 = 5001 \text{ birr} \][/tex]
#### 4. Adjustments for the Cash Book Balance
- Interest Collected by Bank: +600 birr
- Bank Service Charges: -18 birr
- Returned Cheque: -220 birr
- Incorrect Recording of Cheque \#7382: It should be 131 birr, but was recorded as 311 birr. Therefore, you need to correct this by adding back the difference:
[tex]\[ 311 - 131 = 180 \text{ birr} \][/tex]
Combining these adjustments:
[tex]\[ 20,502 + 600 - 18 - 220 + 180 = 21,044 \text{ birr} \][/tex]
So, the adjusted cash book balance is 21,044 birr.
#### 5. Adjustments for the Bank Statement Balance
- Deposit Not Appeared: +3,680 birr
- Cheques Written: -5,001 birr
- Bank Error: An incorrect amount of 175 birr was charged to the company’s account and should be added back.
Combining these adjustments:
[tex]\[ 22,190 + 3680 - 5001 + 175 = 20,694 \text{ birr} \][/tex]
So, the adjusted bank statement balance is 20,694 birr.
### Final Adjusted Balances
- Cheque Total: 5,001 birr
- Adjusted Cash Book Balance: 21,044 birr
- Adjusted Bank Statement Balance: 20,694 birr
These adjustments correct the discrepancies and align the cash book balance and bank statement balance for reconciliation purposes.
#### 1. Initial Balances
The first step is to establish the initial balances as mentioned:
- Cash book balance: 20,502 birr
- Bank statement balance: 22,190 birr
#### 2. Deposits Not Appeared on Bank Statement
There's a deposit of 3,680 birr that has not appeared on the bank statement. This implies the bank statement does not show the actual balance that should include this deposit.
#### 3. Cheques Written and Not Yet Cleared
The cheques written that have not yet been cleared by the bank are:
- Cheque \#7347: 150 birr
- Cheque \#7348: 4,820 birr
- Cheque \#7349: 31 birr
The total amount of these cheques is:
[tex]\[ 150 + 4820 + 31 = 5001 \text{ birr} \][/tex]
#### 4. Adjustments for the Cash Book Balance
- Interest Collected by Bank: +600 birr
- Bank Service Charges: -18 birr
- Returned Cheque: -220 birr
- Incorrect Recording of Cheque \#7382: It should be 131 birr, but was recorded as 311 birr. Therefore, you need to correct this by adding back the difference:
[tex]\[ 311 - 131 = 180 \text{ birr} \][/tex]
Combining these adjustments:
[tex]\[ 20,502 + 600 - 18 - 220 + 180 = 21,044 \text{ birr} \][/tex]
So, the adjusted cash book balance is 21,044 birr.
#### 5. Adjustments for the Bank Statement Balance
- Deposit Not Appeared: +3,680 birr
- Cheques Written: -5,001 birr
- Bank Error: An incorrect amount of 175 birr was charged to the company’s account and should be added back.
Combining these adjustments:
[tex]\[ 22,190 + 3680 - 5001 + 175 = 20,694 \text{ birr} \][/tex]
So, the adjusted bank statement balance is 20,694 birr.
### Final Adjusted Balances
- Cheque Total: 5,001 birr
- Adjusted Cash Book Balance: 21,044 birr
- Adjusted Bank Statement Balance: 20,694 birr
These adjustments correct the discrepancies and align the cash book balance and bank statement balance for reconciliation purposes.
Thank you for visiting. Our goal is to provide the most accurate answers for all your informational needs. Come back soon. Thank you for your visit. We're dedicated to helping you find the information you need, whenever you need it. Thank you for choosing Westonci.ca as your information source. We look forward to your next visit.