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Cottage Co. deposits all cash receipts on the day when they are received and it makes all cash payments by check. At the close of

image text in transcribedCottage Co. deposits all cash receipts on the day when they are received and it makes all cash payments by check. At the close of business on December 31, its Cash account shows a debit balance of $18,719. The companys bank statement as of December 31 shows an ending cash balance of $16,051. The following information was also available.

Problem 5-181 [LO 5-4] Cottage Co. deposits all cash receipts on the day when they are received and it makes all cash payments by check. At the close of business on December 31, its Cash account shows a debit balance of $18,719. The company's bank statement as of December 31 shows an ending cash balance of $16,051. The following information was also available. Outstanding checks as of December 31 total $2,326 Included with the bank statement was a debit memo in the amount of $100 for service charges Check No. 2519, listed with the canceled checks, was correctly drawn for $870 in payment of a utility bill on December 16. The company mistakenly recorded it with a debit to Utilities Expense and a credit to Cash in the amount of $980. The December 31 cash receipts of $3,620 were placed in the bank's night depository after banking hours and were not recorded on the December 31 bank statement. The bank deducted $1,384 for an NSF check from a customer deposited on December 10 Required Prepare the bank reconciliation as of December 31 Cottage Co Bank Reconciliation At December 31 Updates to Bank Statement Updates to Company's Books Ending Cash Balance per Bank Statement Additions: Ending Cash Balance per Books Additions: Deductions: Deductions: Up-to-date ending cash balance Up-to-date ending cash balance

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