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Bank Reconciliation On July 31, Sullivan Companys Cash in Bank account had a balance of $8,112.62. On that date, the bank statement indicated a balance

Bank Reconciliation On July 31, Sullivan Companys Cash in Bank account had a balance of $8,112.62. On that date, the bank statement indicated a balance of $9,098.55. A comparison of returned checks and bank advices revealed the following:

Deposits in transit July 31 amounted to $3,358.19.

Outstanding checks July 31 totaled $1,251.12.

The bank erroneously charged a $215.00 check of Solomon Company against the Sullivan bank account.

A $15 bank service charge has not yet been recorded by Sullivan Company.

Sullivan neglected to record $3,000.00 borrowed from the bank on a ten percent six-month note. The bank statement shows the $3,000.00 as a deposit.

Included with the returned checks is a memo indicating that J. Martins check for $640.00 had been returned NSF. Martin, a customer, had sent the check to pay an account of $660.00 less a $20 discount.

Sullivan Company recorded a $107.00 payment for repairs as $1,070.00

Required

a. Prepare a bank reconciliation for Sullivan Company at July 31.

b. Prepare the journal entry (or entries) necessary to bring the Cash in Bank account into agreement with the reconciled cash balance on the bank reconciliation.

Note: Do not round answers - enter using two decimal places, when needed.

Bank reconciliation

Journal entries

SULLIVAN COMPANY Bank Reconciliation July 31
AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer Balance from general ledger Answer
Add: AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer Add: AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer
Add: Bank error- Solomon Company check Answer
charged against Sullivan Company's account Answer Answer Answer
Answer Answer
Less: AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer Less: AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer
Less: NSF Check Answer
AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer AnswerDeposits not credited by bankEnding balance from bank statementOutstanding checksProceeds of noteService chargeReconciled cash balance Answer

GENERAL JOURNAL
Date Description Debit Credit
July 31 AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
To record proceeds of note.
31 AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
To correct recording of check.
31 AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
To record service charge.
31 AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
AnswerAccounts ReceivableCash in BankMiscellaneous ExpenseNotes PayableRepairs ExpenseSales Discounts Answer Answer
Cash in Bank Answer Answer
To reclassify NSF check as an account receivable.

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