Question

Using the following information, prepare a bank reconciliation for Crane Company for July 31, 2022. a. The bank stat...

Using the following information, prepare a bank reconciliation for Crane Company for July 31, 2022.

a. The bank statement balance is $3,510.
b. The cash account balance is $4,050.
c. Outstanding checks totaled $1,240.
d. Deposits in transit are $1,690.
e. The bank service charge is $81.
f. A check for $76 for supplies was recorded as $67 in the ledger.
Crane Company
Bank Reconciliation

For the Month Ended July 31, 2022July 31, 2022For the Year Ended July 31, 2022

select an opening name for section one

Federal Tax DepositsCheck for Supplies ErrorCash Balance Per BankAdjusted Cash Balance Per BankDeposit in TransitOutstanding ChecksBank Service ChargeAdjusted Cash Balance Per Books

$enter a dollar amount

select between addition and deduction

AddLess

: select a reconciling item

Adjusted Cash Balance Per BankDeposit in TransitOutstanding ChecksCash Balance Per BankAdjusted Cash Balance Per BooksCheck for Supplies ErrorFederal Tax DepositsBank Service Charge

enter a dollar amount

enter a subtotal of the two previous amounts

select between addition and deduction

AddLess

: select a reconciling item

Deposit in TransitFederal Tax DepositsBank Service ChargeAdjusted Cash Balance Per BankCash Balance Per BankOutstanding ChecksAdjusted Cash Balance Per BooksCheck for Supplies Error

enter a dollar amount

select a closing name for section one

Deposit in TransitBank Service ChargeOutstanding ChecksAdjusted Cash Balance Per BankFederal Tax DepositsCash Balance Per BankAdjusted Cash Balance Per BooksCheck for Supplies Error

$enter a total amount for the first section

select an opening name for section two

Federal Tax DepositsAdjusted Cash Balance Per BooksOutstanding ChecksCheck for Supplies ErrorBank Service ChargeAdjusted Cash Balance Per BankCash Balance Per BooksDeposit in Transit

$enter a dollar amount

select between addition and deduction

AddLess

:
select a reconciling item

    Outstanding Checks    Adjusted Cash Balance Per Bank    Deposit in Transit    Bank Service Charge    Adjusted Cash Balance Per Books    Cash Balance Per Books    Check for Supplies Error    Federal Tax Deposits    

$enter a dollar amount

select a reconciling item

    Deposit in Transit    Federal Tax Deposits    Check for Supplies Error    Adjusted Cash Balance Per Books    Adjusted Cash Balance Per Bank    Bank Service Charge    Cash Balance Per Books    Outstanding Checks    

enter a dollar amount

enter a subtotal of the two previous amounts

select a closing name for section two

Adjusted Cash Balance Per BooksBank Service ChargeCheck for Supplies ErrorFederal Tax DepositsAdjusted Cash Balance Per BankDeposit in TransitCash Balance Per BooksOutstanding Checks

$enter a total amount for the second section

0 0
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Answer #1
Cash balance as per bank 3510
ADD : Deposits in transit 1690
5200
LESS : Outstanding checks 1240
Adjusted cash balance per books 3960
Cash balance as per books 4050
LESS : Bank service charge 81
LESS : Check for supplies error(76-67) 9
90
Adjusted cash balance as per books 3960
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