Prepare the bank reconciliation statement as at July 31 for Donna's Day care based on the information
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Question:
Prepare the bank reconciliation statement as at July 31 for Donna's Day care based on the information provided below.
Prepare the bank reconciliation statement using Word or Excel and upload that file here below:
Cash balance per bank, July 31 | $5,586 |
Cash balance per general ledger, July 31 | 5,055 |
Outstanding cheques | 1,816 |
Deposit in transit | 750 |
NSF cheque returned by bank, for accounts receivable | 450 |
July interest earned, on bank statement | 15 |
Wrote cheque no. 800 as for $1,100; recorded payment in books for $800. | |
Bank erroneously recorded a $5,800 deposit for $6,000. |
Related Book For
Fundamental Accounting Principles
ISBN: 978-1259536359
23rd edition
Authors: John Wild, Ken Shaw, Barbara Chiappett
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