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Bank Reconciliation Statement. The cash account for Coreys Construction Company at August 31, 2020, indicated a book balance of $19,885. The bank statement received by
Bank Reconciliation Statement.
The cash account for Coreys Construction Company at August 31, 2020, indicated a book balance of $19,885. The bank statement received by the company indicated a balance of $39,473.63 as at August 31, 2020. A comparison of the bank statement and the accompanying cancelled cheques and memos with the records revealed the following:
- A deposit of $6,794.62 was received by the bank on August 31 after the bank statement was prepared.
- Cheques #251 for $1,200 and #260 for $1,333.25 were not presented to the bank for encashment as at August 31, 2020.
- The bank erroneously debited a cheque drawn Coreys Construction as $16,000 instead of $1,600.
- The companys accountant recorded a $3,500.00 cheque for payment of accounts payables as $35,000
- The bank credited a deposit of $200 as $2,000 to Coreys Construction account.
- A cheque for $13,500 from a customer Ali Woods was returned for insufficient funds. The bank charged $50 for Woods NSF cheque. The companys policy states that the bank charges associated with NSF cheques are to be recovered from the customer.
- A note was collected by the bank of $21,000 on August 31 which included interest of $1,500
- A debit memo from the bank showed service charge amounting to $2,500 as at August 31, 2020.
- Prepare Coreys Construction Company adjusted cash book for August 31st. 2020.
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