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Angela Lansbury Company deposits all receipts and makes all payments by check. The following information is available from the cash records. June 30 Bank Reconciliation

Angela Lansbury Company deposits all receipts and makes all payments by check. The following information is available from the cash records.

June 30 Bank Reconciliation

Balance per bank

$7,000

Add: Deposits in transit

1,540

Deduct: Outstanding checks

(2,000

)

Balance per books

$6,540

Month of July Results

Per Bank

Per Books

Balance July 31

$8,650 $9,250

July deposits

5,000 5,810

July checks

4,000 3,100

July note collected (not included in July deposits)

1,000

July bank service charge

15

July NSF check from a customer, returned by the bank (recorded by bank as a charge)

335
Prepare a bank reconciliation going from balance per bank and balance per book to correct cash balance.

ANGELA LANSBURY COMPANY Bank Reconciliation July 31

select an opening name for section one

Outstanding checksCorrect cash balance, July 31Collection of noteBank service chargeBalance per bank statement, July 31Deposits in transitNSF check

$enter a dollar amount

select between addition and deduction

LessAdd

:
select a reconciling item

Correct cash balance, July 31Understated check for suppliesBalance per books, July 31Balance per bank statement, July 31Bank service chargeCollection of noteNSF checkDeposits in transit

enter a dollar amount

select between addition and deduction

AddLess

:
select a reconciling item

Outstanding checksCollection of noteBalance per books, July 31Bank service chargeNSF checkCorrect cash balance, July 31Understated check for suppliesBalance per bank statement, July 31

enter a dollar amount

select a closing name for section one

NSF checkBalance per books, July 31Deposits in transitOutstanding checksCollection of noteBank service chargeCorrect cash balance, July 31Balance per bank statement, July 31

$enter a total amount for section one

select an opening name for section two

Collection of noteBank service chargeNSF checkCorrect cash balance, July 31Deposits in transitOutstanding checksBalance per books, July 31

$

select between addition and deduction

AddLess

:
select a reconciling item

Bank service chargeBalance per bank statement, July 31Collection of noteDeposits in transitNSF checkCorrect cash balance, July 31Outstanding checksBalance per books, July 31

enter a dollar amount

select between addition and deduction

AddLess

:
select a reconciling item

NSF check Balance per bank statement, July 31 Correct cash balance, July 31 Bank service charge Deposits in transit Outstanding checks Balance per books, July 31 Collection of note

$enter a dollar amount

select a reconciling item

Correct cash balance, July 31 Deposits in transit Balance per books, July 31 Balance per bank statement, July 31 Outstanding checks Collection of note Bank service charge NSF check

enter a dollar amount

enter a subtotal of the two previous amounts

select a closing name for section two

NSF checkOutstanding checksBank service chargeCollection of noteCorrect cash balance, July 31Balance per books, July 31Balance per bank statement, July 31Deposits in transit

$enter a total amount for section two

SHOW LIST OF ACCOUNTS

LINK TO TEXT

Prepare the general journal entry to correct the Cash account. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when the amount is entered. Do not indent manually.)

Account Titles and Explanation

Debit

Credit

enter an account title

enter a debit amount

enter a credit amount

enter an account title

enter a debit amount

enter a credit amount

enter an account title

enter a debit amount

enter a credit amount

enter an account title

enter a debit amount

enter a credit amount

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