Question

Your roommate, Akira, is embarrassed. She has never before had a checking account, but she finally opened one last month. She

Now, with Akiras latest bank statement and her check register or ledger in hand, you can examine the documents. Use the grey9-04 Check 301 ATM withdrawal 250.00 25.00 100.00 35.15 400.00 9-05 9-05 9-11 9-15 9-18 9-21 9-22 9-24 Deposit ATM withdrawal100.00 35.15 400.00 9-05 9-11 9-15 9-18 9-21 9-22 9-24 9-26 Deposit ATM withdrawal Deposit Check 302 ATM withdrawal Deposit CWithdrawals Date Sep-01 Sep-03 Sep-04 Sep-05 Sep-05 Sep-11 Sep-15 Akiras Account Ledger Transaction Description Deposit Depo1,486.60 150.00 47.65 140.00 Sep-18 Sep-21 Sep-22 Sep-24 Sep-26 Sep-27 Sep-27 Sep-27 Sep-28 Check 302 - Groceries ATM withdraSep-24 Sep-26 Sep-27 Sep-27 Sep-27 Sep-28 Check 303 - Bookstore ATM withdrawal 94504 Check 304 - Dry cleaning ATM withdrawalUsing the documentation from the bank and from Akiras check register, construct the bank reconciliation statement for Septem

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Answer #1

           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

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