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I need answer as soon as possible. Below is the screenshot i was answer according to the screenshot with written in the table. Bank Reconciliation
I need answer as soon as possible.
Below is the screenshot i was answer according to the screenshot with written in the table.
- Bank Reconciliation
The bank reconciliation prepared by Samirs Salon on November 30, 2025 appeared as follows:
General Ledger Balance | $4873.33 | Bank Statement Balance | $4004.70 | |||
Subtract: | ||||||
NSF | $181.83 | Add: | ||||
Service Charges | 52.50 | Deposit in Transit | 1592.27 | |||
234.33 | Subtract: | |||||
Outstanding Cheques | ||||||
447 | 105.00 | |||||
454 | 225.29 | |||||
461 | 375.05 | |||||
462 | 252.63 | 957.97 | ||||
Reconciled Balance | $4639.00 | Reconciled Balance | $4639.00 | |||
The Cash account in the general ledger appeared as follows on December 31:
Date | Explanation | Debit | Credit | Balance |
Dec. 1 | Balance Forward | $4639.00 | ||
Dec. 5 | Deposit | 876.87 | ||
Dec. 6 | Chq. #463 | 1970.91 | ||
Dec. 6 | Chq. #464 | 487.92 | ||
Dec. 7 | Deposit | 861.24 | ||
Dec. 12 | Deposit | 962.36 | ||
Dec. 13 | Chq. #465 | 50.50 | ||
Dec. 13 | Chq. #466 | 1468.26 | ||
Dec. 13 | Chq. #467 | 613.21 | ||
Dec. 14 | Deposit | 2377.25 | ||
Dec. 19 | Deposit | 1416.02 | ||
Dec. 20 | Chq. #468 | 55.73 | ||
Dec. 20 | Chq. #469 | 549.47 | ||
Dec. 21 | Deposit | 985.79 | ||
Dec. 28 | Deposit | 753.53 | 7676.06 |
The following bank statement was received for the month of December:
Date | Description | Cheques/Charges | Deposits/Credits | Balance |
Dec. 1 | Opening Balance | $4004.70 | ||
Dec. 3 | Deposit Slip | 1592.27 | ||
Dec. 4 | No. 000447 | 105.00 | ||
Dec. 4 | No. 000454 | 225.29 | ||
Dec. 4 | No. 000462 | 252.63 | ||
Dec. 6 | No. 000464 | 487.92 | ||
Dec. 6 | Deposit | 876.87 | ||
Dec. 7 | No. 000463 | 1970.91 | ||
Dec. 10 | Deposit | 861.24 | ||
Dec. 13 | Deposit | 962.36 | ||
Dec. 14 | No. 000466 | 1468.26 | ||
Dec. 14 | No. 000467 | 613.21 | ||
Dec. 17 | Deposit | 2377.25 | ||
Dec. 20 | Deposit | 1416.02 | ||
Dec. 22 | NSF Cheque | 149.00 | ||
Dec. 23 | Etransfer inv. #299 | 1460.00 | ||
Dec. 23 | Etransfer fee | 5.00 | ||
Dec. 27 | Deposit | 985.79 | ||
Dec. 31 | Service Charge | 52.50 | 9206.78 |
Required: Prepare a bank reconciliation for December 31, 2025 and journalize the necessary entries.
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