Question
Bank Reconciliation 16. Information about the cash position for Wellington Ltd for the month of June 2018 is presented below: The general ledger Cash at
Bank Reconciliation 16. Information about the cash position for Wellington Ltd for the month of June 2018 is presented below: The general ledger Cash at Bank had a balance of $12,600 (Dr) on 30 June 2018. The June bank statement reported a bank balance of $11,422 (Cr) on 30 June. Outstanding cheques at the end of June were: No. 777, $120; No. 888, $146; and No. 999, $224. Cheque receipts of $2,400 for June were placed in the banks night safe on 30 June and were not included in the June bank statement. A simple comparison disclosed that cheque No. 666 for $708, for rent expense, had been wrongly recorded as $690 in the General Ledger. Included on the bank statement were: o A credit for $1,468 for an electronic transfer. o A dishonoured cheque written by a client for $654. o Bank account fees of $64. Required: Prepare a bank reconciliation statement for the Wellington Ltd as at 30 June 2018.
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