Question
Calculator The following information is from Madison Corporation's accounting records for May. Check #3269 was returned as a double payment and voided. Checks that have
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The following information is from Madison Corporation's accounting records for May. Check #3269 was returned as a double payment and voided. Checks that have not cleared the bank include #3252, #3260, and series #32753278.
Check # | Amount | Check # | Amount |
3247 | $ 32.64 | 3263 | $ 24.87 |
3248 | 400.00 | 3264 | 45.00 |
3249 | 309.22 | 3265 | 33.78 |
3250 | 256.00 | 3266 | 756.77 |
3251 | 3,212.17 | 3267 | 84.34 |
3252 | 56.89 | 3268 | 789.00 |
3253 | 98.02 | 3269 | 48.90 |
3254 | 47.55 | 3270 | 34.41 |
3255 | 1,124.77 | 3271 | 872.00 |
3256 | 250.00 | 3272 | 22.00 |
3257 | 68.00 | 3273 | 562.38 |
3258 | 215.56 | 3274 | 512.00 |
3259 | 38.55 | 3275 | 603.50 |
3260 | 92.65 | 3276 | 67.00 |
3261 | 44.61 | 3277 | 301.61 |
3262 | 72.96 | 3278 | 47.88 |
In addition to the above list of the checks, Madison had check #2264 for $32.98 and check #2655 for $45.99 outstanding previously that have not cleared.
1. What is the total amount of checks that cleared the bank (written in May)? Round your answer to two decimal places.
$ |
Journalize the entries to record the following:
March 1 | Established a petty cash fund of $750. |
March 31 | The amount of cash in the petty cash fund is now $583. The fund is replenished based on the following receipts: office supplies, $50 selling expenses, $127. |
Record any discrepancy in the cash short and over account. If an amount box does not require an entry, leave it blank or enter "0".
account title | Debit | Credit | |
March 1 | |||
March 31 | |||
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