Question
Hi Chegg please provide a step by step solution B ank reconciliation for Norman Construction Co. using the following bank statement and G/L report of
Hi Chegg please provide a step by step solution
Bank reconciliation for Norman Construction Co. using the following bank statement and G/L report of the Cash account once
completed the reconciliation, record the required journal entries, using the date on the bank statement. Assume:
- Any number errors were made by the bank (ie - the G/L amounts are always correct)
- There were no reconciling items in March, 2020.
BANK STATEMENT April 1 30, 2020 | ||||
Date | Description | Withdrawal | Deposit | Balance |
Apr 1 | Opening Balance |
|
| $8400 |
Apr 2 | EFT Rent Payment | 1200 |
| 7200 |
Apr 3 | Cheque 805 | 4600 | 2600 | |
Apr 9 | Cheque 806 | 550 | 2050 | |
Apr 16 | Cheque 1150 |
| 2400 | 4450 |
Apr 20 | Cheque 2360 | 850 | 5300 | |
Apr 21 | NSF Cheque 1150 | 2400 |
| 2900 |
Apr 21 | NSF Fee | 40 |
| 2860 |
Apr 30 | Interest |
| 15 | 2875 |
Apr 30 | Monthly Account Fee | 50 |
| 2825 |
ACCOUNT: CASH G/L Acct #: 100 | |||||
Date | Description | DR | CR | Balance | |
Apr 1 | Opening Balance |
|
| 8400 | DR |
Apr 2 | Cheque 805 | 4600 | 3800 | DR | |
Apr 7 | Cheque 806 |
| 505 | 3295 | DR |
Apr 13 | Cheque 1150 | 2400 |
| 5695 | DR |
Apr 19 | Cheque 2360 | 850 |
| 6545 | DR |
Apr 26 | Cheque 807 |
| 645 | 5900 | DR |
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