Juan Ortiz is unable to reconcile the bank balance at January 31. Juans reconciliation is shown here.
Question:
Juan Ortiz is unable to reconcile the bank balance at January 31. Juan’s reconciliation is shown here.
Cash balance per bank ..... $3,660.20
Add: NSF check ....... 470.00
Less: Bank service charge .... 25.00
Adjusted balance per bank .. $4,105.20
Cash balance per books ... $3,975.20
Less: Deposits in transit .... 590.00
Add: Outstanding checks .... 770.00
Adjusted balance per books .. $4,155.20
Instructions
(a) What is the proper adjusted cash balance per bank?
(b) What is the proper adjusted cash balance per books?
(c) Prepare the adjusting journal entries necessary to determine the adjusted cash balance per books.
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Related Book For
Accounting Tools For Business Decision Making
ISBN: 9780470377857
3rd Edition
Authors: Paul D. Kimmel
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