Question
Information related to Bonita Services is as follows: balance per books at October 31, $41,936.85; November receipts, $174,056.91; November disbursements, $166,536.46; balance per bank statement
Information related to Bonita Services is as follows: balance per books at October 31, $41,936.85; November receipts, $174,056.91; November disbursements, $166,536.46; balance per bank statement at November 30, $56,358.20. The following cheques were outstanding at November 30:
#1224 | $1,703.49 | |
#1230 | 2,540.90 | |
#1232 | 3,706.55 | |
#1233 | 507.69 |
Included with the November bank statement and not recorded by the business were a bank debit memo for $30.20 covering bank charges for the month, a debit memo for $660.13 for a customers cheque returned and marked NSF and a credit memo for $1,141.00 representing bond interest collected by the bank in the name of Bonita Services. Cash on hand at November 30 that had been recorded and was not yet deposited amounted to $2,008.40.
(a)
Correct answer iconYour answer is correct.
Calculate the unadjusted balance in the Cash account on November 30. (Round answer to 2 decimal places, e.g. 52.75.)
Unadjusted Balance per books, November 30 | $49457.30 |
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Attempts: 2 of 3 used
(b)
Prepare a bank reconciliation to the correct balance at November 30 for Bonita Services. (List items that increase balance as per bank & books first. Round answers to 2 decimal places, e.g. 52.75.)
Bonita Services Bank Reconciliation November 30 | ||||
$ | ||||
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$ | ||||
$ | ||||
$ | ||||
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$ | ||||
$ |
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