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COPPERFIELD ENTERTAINMENT Cash Account Records May 1 , 2 0 2 4 , to May 3 1 , 2 0 2 4 Cash Balance May
COPPERFIELD ENTERTAINMENT
Cash Account Records
May to May
Cash Balance May Cash Receipts Cash Disbursements Cash Balance May
$ $ $ $
Cash Receipts Cash Disbursements
Date Description Amount Date Description Memo Amount
Sales $ DC Legal fees $
Sales DC Property tax
Sales DC Salaries
Sales DC Advertising
Sales CHK number Supplies
CHK number Salaries
$ $
PO Box Bowlegs, OK
CASH Midwest Bank
Looking Out For You Member FDIC
Account Holder: Copperfield Entertainment
Saddle Blvd
Bowlegs, OK Account Number:
Statement Date: May
Account Summary
Beginning Balance
May Deposits and Credits Withdrawals and Debits Ending Balance
May
Number Total Number Total
$ $ $ $
Account Details
Deposits and Credits Withdrawals and Debits Daily Balance
Date Amount Description Date Number Amount Description Date Amount
$ DEP $ CHK $
DEP CHK
DEP DC
NOTE NSF
INT DC
DEP DC
INT EFT
DC
SF
$ $ $
Description DEP Customer deposit INT Interest earned SF Service fees
NOTE Note collected CHK Customer check NSF Nonsufficient funds
EFT Electronic funds transfer DC Debit card
Additional information:
The difference in the beginning balances in the companys records and the bank statement relates to checks number and number which are outstanding as of April prior month
The bank made the EFT on May in error. The bank accidentally charged Copperfield for payment that should have been made on another account.
Required:
Prepare a bank reconciliation for Copperfield's checking account on May
Record the necessary cash adjustments.
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