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An examination of the cash activities during the year shows the following. GREAT ADVENTURES Cash Account Records July 1 , 2 0 2 4 ,

An examination of the cash activities during the year shows the following.
GREAT ADVENTURES
Cash Account Records
July 1,2024, to December 31,2024
Cash Receipts Cash Disbursements
Date Description Amount Date Check number Description Amount
7/1 Stock sale $20,0007/1101 Insurance $4,800
7/15 Clinic receipts 2,0007/2102 Legal fees 1,500
7/22 Clinic receipts 2,3007/7 DC Advertising 300
7/30 Clinic receipts 4,0007/8103 Bikes 12,000
8/1 Borrowing 30,0007/24 DC Advertising 700
8/10 Clinic receipts 3,0008/4104 Kayaks 28,000
8/17 Clinic receipts 10,5008/24 DC Office supplies 1,800
9/21 Clinic receipts 13,2009/1105 Rent 2,400
10/17 Clinic receipts 17,90012/8106 Race permit 1,200
12/15 Race receipts 20,00012/16107 Salary 2,000
12/31108 Dividend 2,000
12/31109 Dividend 2,000
$122,900 $58,700
Summary of Transactions
Beginning Cash Balance July 1,2024+ Cash Receipts Cash Disbursements = Ending Cash Balance December 31,2024
$0 $122,900 $58,700 $64,200
Suzie has not reconciled the companys cash balance with that of the bank since the company was started. She asks Summit Bank to provide her with a six-month bank statement. To save time, Suzie makes deposits at the bank only on the first day of each month.
SUMMIT BANK
Leading You to the Top Member FDIC
Account Holder: Great Adventures, Incorporated Account Number: 1124537774
Statement Date: December 31,2024
Account Summary
Beginning Balance
July 1,2024 Deposits and Credits Withdrawals and Debits Ending Balance December 31,2024
Number Total Number Total
$6,2608 $103,40011 $52,900 $50,500
Account Details
Deposits and Credits Withdrawals and Debits Daily Balance
Date Amount Description Date Number Amount Description Date Amount
7/1 $20,000 DEP 7/1101 $4,800 CHK 7/1 $15,200
8/18,300 DEP 7/71021,500 CHK 7/713,400
8/130,000 DEP 7/7300 DC 7/141,400
9/113,500 DEP 7/1410312,000 CHK 7/24700
9/30200 INT 7/24700 DC 8/139,000
10/113,200 DEP 8/910428,000 CHK 8/911,000
11/117,900 DEP 8/241,800 DC 8/249,200
12/31300 INT 9/21052,400 CHK 9/122,700
9/30100 SF 9/220,300
12/101061,200 CHK 9/3020,400
12/31100 SF 10/133,600
11/151,500
12/1050,300
$103,400 $52,90012/31 $50,500
Description DEP Customer deposit INT Interest earned SF Service fees
CHK Customer check DC Debit card
After comparing the two balances, Suzie has some concern because the banks balance of $50,500 is substantially less than the companys balance of $64,200.
Required
2-a. Prepare Great Adventures bank reconciliation for the six-month period ended December 31,2024.
per Bank statement per General ledger
Bnak balance recociliation Company balance reconciliation
2-b. Record any necessary entries to adjust cash.
Journal entry worksheet
decemeber 31,2024

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