Problem

Bank reconciliation and adjustments to the cash account LO 3The following information is a...

Bank reconciliation and adjustments to the cash account LO 3

The following information is available for Mountain Top Hotel for July 2011:

Date

Check No.

Amount of Check

Date

Amount of Deposit

July

3

3351

$1,643

July

8

$6,498

July

4

2352

8,000

July

14

4,929

July

10

2353

1,500

July

21

6,174

July

10

2354

2,894

July

26

5,963

July

15

2355

1,401

July

29

2,084

July

20

2356

745

July

30

3,550

July

33

3357

6,187

 

 

 

The following is a list of checks and deposits recorded on the books of the Mountain Top Hotel for July 2011:

Other Information

1.Check no. 2350 was outstanding from June.

2.The credit memo was for collection of notes receivable.

3.All checks were paid at the correct amount.

4.The debit memo was for printed checks.

5.The June 30 bank reconciliation showed a deposit in transit of $1,102.

6.The unadjusted Cash account balance at July 31 was $13,200.

Required

a.Prepare the bank reconciliation for Mountain Top Hotel at the end of July.


b.Record in general journal form any necessary entries to the Cash account to adjust it to the true cash balance.

Step-by-Step Solution

Request Professional Solution

Request Solution!

We need at least 10 more requests to produce the solution.

0 / 10 have requested this problem solution

The more requests, the faster the answer.

Request! (Login Required)


All students who have requested the solution will be notified once they are available.
Add your Solution
Textbook Solutions and Answers Search