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Additional data: Booney Town deposits all cash receipts in the bank and makes all payments by check. The Cash account of Booney Town Associates at

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Additional data: Booney Town deposits all cash receipts in the bank and makes all payments by check. The Cash account of Booney Town Associates at February 28, 2019, follows: (Click the icon to view the Cash account.) Booney Town Associates received the folowing bank statement on February 28, 2019 (Click the icon to view the February bank statement.) Read the requirements Data Table Requirement 1. Prepare the bank reconciliation of Booney Town Associates at February 28, 2019 Prepare the bank portion of the reconciliation, followed by the book portion of the reconciliation Booney Town Associates Bank Reconciliation February 28, 2019 Beg Bal Feb. 6 Feb. 15 Feb. 23 Feb. 28 End Ball Cash 5,005 400 1.900 900 2,700 4,405 200 Feb 3 2,500 Feb. 12 1,700 Feb. 19 1.200 Feb 25 900 Feb. 27 Print Done Choose from any list or enter any number in the input fields and then continue to the next question The Cash account of Booney Town Associates at February 28, 2019, follows: (Click the icon to view the Cash account) Booney Town Associates roolved the following bank statement on February 28, 2019 m (Click the icon to view the February bank statement.) Addonald Booney Town deposits al cash receipts in the bank and makes all payments by chech Read the requirements Data Table Cash 5.005 Beg Bal Feb 400 Feb 200 Feb. 3 2,500 Feb 12 1,700 Feb. 19 1.200 Feb 25 900 Feb27 Feb End Bal 2.700 4405 Print Done Choose from any list or enter any number in the input fields and then continue to the next question Additional data Booney Town deposits all cash receipts in the bank and makes al payments by check The Cash account of Booney Town Associates at February 28, 2019, follows: (Click the icon to view the Cash account) Booney Town Associates received the following bank statement on February 28, 2019 Click the icon to view the February bank statement) Read the outcomes Requirement 2. Joumalire the entries based on the bank reconciliation (Record debits first, then credits. Select the explanation on the last line of the journal entry table) Begin with the EFT collection of the note Review the bank reconciliation i Data Table Accounts and explanation Debit Credit Date Feb 28 Cash Beg Bal Feb 18 200 Feb 3 2,500 Feb 12 1,700 Feb. 10 1.200 Feb. 25 900 Feb. 27 Joumaline the interesteamed on the company's cash balance 2700 End. Bal 4.405 Choose from any list or enter any number in the input fields and then continue to the next question. Print Done The Cash account of Booney Town Associates at February 28, 2019, follows: (Click the loon to view the Cash account) Booney Town Associates received the following bank statement on February 28, 2019 (Click the icon to view the February bank statement) Additional data Booney Town deposits all cash receipts in the bank and makes all payments by check Read the requirements Joumalize the interesteamed on the company's cash balance Review the bark reconciliation Accounts and Explanation Debit Credit Data Table Cash 5,005 400 Beg Bal Feb. 6 Feb. 15 Feb. 23 Feb. 29 200 Fobs 2,500 Feb. 12 1.700 Feb19 1,200 Feb. 25 900 Feb. 27 Journal the service charge 1.900 900 2,700 4,405 Review the bank reconciliation Choose from any list or enter any number in the input fields and then continue to the next question End. Bal Print Done The Cashcourt of Booney Town Associates at bruary 28, 2019 follows: TT Click the icon to view the cash count) Booney Town Associats received the following bank statement on February 28, 2019 (Click the icon to view the February bank statement) Adonald Booney Town deposits all cash recipes in the bank and makes a payments by check Read the requirements Journal the vice charge Review the bark reconotation Accounts and Explanation Debit Credit Data Table Cash 5,005 Jom the NSF check e d from a customer Reviou te bark reconciliation Date Accounts and Explanation Beg Ball Feb. Feb 15 200 Feb 2.500 12 1.700 Feb 10 1.200 Feb. 25 000 Feb 2 Debit Credit Fab 2,700 4,405 Choose from any list or enter any number in the inputs End Bal and then continue to the next question Print Done Additional data Booney Town deposits al cash receipts in the bank and makes all payments by check The Cash account of Booney Town Associates at February 28, 2019 follows: II (Click the icon to view the Cash account) Booney Town Associats received the following bank statement on February 28, 2019: (Click the icon to view the February bank statement) Read the requirements Joumalize the NSF check returned from a customer Review the bank reconciliation Date Accounts and Explanation Debit Feb 28 Data Table Beg Bal Joumalize the EFT payment to EZ rent. Review the bank reconciliation Date Accounts and Explanation Debit Credit Choose from any list or enter any number in the input fields and then continue to the next question. Feb. 15 Feb 23 Cash 5,005 400 1.900 900 2,700 4,405 200 Feb. 3 2,500 Feb. 12 1,700 Feb. 19 1,200 Feb. 25 900 Feb. 27 End. Bal i Data Table BANK STATEMENT CHECKING ACCOUNT 136-213734 BANK OF TOMORROW 123 PETER PAN RD, KISSIMMEE, FL 34747 Booney Town Associates 14 W Gadsden St Pensacola, FL 32501 BEGINNING BALANCE TOTAL DEPOSITS $ 5,005 6,420 SERVICE CHARGES TOTAL WITHDRAWALS 6,140 TRANSACTIONS February 28, 2019 ENDING BALANCE $ 5,263 DEPOSITS AMOUNT 400 Deposit Deposit EFT-Collection of note Deposit DATE 02/07 02/15 02/17 02/24 1,900 3.200 900 Print Done Data Table Interest 02/28 AMOUNT CHARGES Service Charge DATE 02/28 22 umber Number Amount CHECKS Number Amount 102 200 101 2,500 Amount 1,700 OTHER DEDUCTIONS DATE AMOUNT EFT-EZ Rent NSF Check 02/01 02/13 340 1,400 Done Additional data: Booney Town deposits all cash receipts in the bank and makes all payments by check. The Cash account of Booney Town Associates at February 28, 2019, follows: (Click the icon to view the Cash account.) Booney Town Associates received the following bank statement on February 28, 2019: (Click the icon to view the February bank statement.) Read the requirements Requirement 1. Prepare the bank reconciliation of Booney Town Associates at February 28, Prepare the bank por Requirements Bank: 1. Prepare the bank reconciliation of Booney Town Associates at February 28, 2019 2. Journalize the entries based on the bank reconciliation Choose from any list Print Done

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