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On August 1 , 2 0 1 6 , the accountant for Western Imports downloaded the company's July 3 1 , 2 0 1 6
On August the accountant for Western Imports downloaded the company's July bank statement from the bank's Website. The balance shown on the bank statement was $ The July balance in the Cash account in the general ledger was $
Jenny Irvine, the accountant for Western Imports, noted the following differences between the bank's records and the company's Cash account in the general ledger:
a An electronic funds transfer for $ from Foncier Ricard, a customer located in France, was received by the bank on July
b Check was correctly written and recorded for $ The bank mistakenly paid the check for $
c The accounting records indicate that Check was issued for $ to make a purchase of supplies. However, examination of the check online showed that the actual amount of the check was for $
d A deposit of $ made after banking hours on July did not appear on the July bank statement.
e The following checks were outstanding: Check for $ and Check for $
f An automatic debit of $ on July from CentralComm for telephone service appeared on the bank statement but had not been recorded in the company's accounting records.
Prepare a bank reconciliation for the firm as of July
tableWESTERN IMPORTSBank Reconciliation StatementJuly
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