Balance as per bank Statement, Sept 26 1478.95
Add : Deposit in Transit 300
Less : Outstanding Checks and ATM Transaction
Check no. 304 40
Check no. 305 100
ATM withdrawal no.97505 100.75
ATM withdrawal no.97506 37.50
TOTAL WITHDRAWAL 278.25
ADJUSTED BANK BALANCE 1500.70
Balance as per books, Sept 29 1500.70
Your roommate, Akira, is embarrassed. She has never before had a checking account, but she finally...
6. Checking account reconciliation Aa Aa E How Do You Balance Your Checkbook? Your roommate, Akira, is embarrassed. She has never before had a checking account, but she finally opened one last month. She's standing in the doorway of the kitchen with her check register in one hand and her recently arrived bank statement in the other. Admitting that she doesn't know what to do next, she's asked for your help in learning how to reconcile, or balance, her checkbook....
Chapter 4 Financial Planning Exercise 6 Checking account reconciliation Use Worksheet 4.1. Carlos Perez has a NOW account at the First State Bank. His checkbook ledger lists the following checks: Amount Check Numbers 654 658 $206.05 55.00 103.00 98.57 6.13 50.01 24.90 32.43 44.50 30.00 30.00 111.23 38.04 97.99 486.19 43.50 75.21 98.22 Carlos also made the following withdrawals and deposits at an ATM near his home: Date Amount Transaction 11/1 $50.00 withdrawal 11/2 $525.60 deposit 11/6 $100.00 deposit 11/14...
Personal financing - First Blank --> date on the bank statement OR Reconciliation date Second blank --> Monthly or Quarterly Please show your work. Fourth State Bank of San Francisco, CA Statement of Account June 2011 Samuel Smythe 550 Angel Street San Francisco, CA Account 348596 Balance Date Subtractions Additions 1,246.00 6-01 6-01 6-03 Description Previous balance Deposit Check 900 500.00 1,746.00 550.00 1.196.00 Withdrawals Date Jun-01 Jun-03 Balance $1,746.00 1,196.00 Samuel's Account Ledger Transaction Description Deposit Deposit - Payroll...
E5-16 Bank reconciliation Identify each of the following reconciling items as: (a) an addition to the cash balance ac- cording to the bank statement, (b) a deduction from the cash balance according to the bank statement, (c) an addition to the cash balance according to the company's records, or (d) a deduction from the cash balance according to the company's records. (None of the trans- actions reperted by bank debit and credit memos have been recorded by the company.) 1....
i need help figuring out this ledger account Saved Helps Required information (The following information applies to the questions displayed below.) The September 30 bank statement for Cadieux Company and the September ledger account for cash are summarized here: BANK STATEMENT Checks Deposits Other NSF check $ 90 $2,850 Balance, September 1 September 7 September 11 September 12 September 17 September 26 September 29 September 30 Balance $1,900 1,810 4,660 3,910 2,310 #101 $ 750 #102 1,600 #103 2,250 60...
On October 31, 2021, the bank statement for the checking account of Blockwood Video shows a balance of $12,751, while the company's records show a balance of $12,381. Information that might be useful in preparing a bank reconciliation is as follows: a. Outstanding checks are $1.280. b. The October 31 cash receipts of $835 are not deposited in the bank until November 2. c. One check written in payment of utilities for $147 is correctly recorded by the bank but...
please help me this assignment On may 2, 2010, Vacation Paradise received its April bank statement from First City Bank. Enclosed with the bank State which appears below, was a debit memo for $160 that covered a NSF check issued by Doris Fisher, a credite firm's checkbook contained the following information about deposits made and checks issued during Aprilg amer The balance of Cash account and the Checkbook on April 30, 2010, was $3810. J. The cash L O The...
125% ICategory Table Chart Тех Zoom Insert View Bank Reconciliation Bank Statement 2 Check Register 2 Check Register Account Number: Date: 12345-678-912-3 Statement Statement Account name: The Rose and Flower 30 April 2019 Number: OPENING BALANCE $0.00 DATE CODE TRANSACTION DETAILS OTHER PARTY MONEY OUT MONEY IN BALANCE 1 Apr DC From 12345-678-912-2 AMB Internal Transfer 500.00 500.00 1 Apr BI AMB ****2049 Loan Drawdown 1,500.00 2,000.00 1 Apr 0001 Ch 0001 125.00 1,875.00 To 54321-987-654-0 2 Apr BP Mr...
Turner Excavation maintains a checking account. During July, the following checks were written and recorded in the accounting records (this information is from the Cash general ledger account): July 2 Cash, Check #301, $100 5 Office Rent Expense, Check #302, $650 13 Cash, Check #303, 997 15 Office Equipment, Check #304, $525 17 Supplies, Check #305, $133 18 Attorney Fees Expense, Check #306, $1,000 30 Advertising Expense, Check #307, $200.20 31 Cash, Check #308, $63.50 The following deposits had been...
Bank Reconciliation The following data were accumulated for use in reconciling the bank account of Nakajima Co, for July: 1. Cash balance according to the company's records at July 31, $49,910. 2. Cash balance according to the bank statement at July 31, $48,250. 3. Checks outstanding, $4,460. 4. Deposit in transit, not recorded by bank, $6,450. 5. A check for $590 issued in payment of an account was erroneously recorded in the check register as $950. 6. Bank debit memo...