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On October 31, 2021, Crane Company had a cash balance per books of $8,967. The bank statement on that date showed a balance of $10,151.
On October 31, 2021, Crane Company had a cash balance per books of $8,967. The bank statement on that date showed a balance of $10,151. A comparison of the statement with the Cash account revealed the following:
1. | The statement included debit memos of $31 for the printing of additional company cheques and $26 for bank service charges. | |
2. | Cash sales of $639 on October 12 were deposited in the bank. The journal entry to record the cash receipt and the deposit slip were incorrectly made out and recorded by Crane as $963. The bank detected the error on the deposit slip and credited Crane Company for the correct amount. | |
3. | The September 30 deposit of $981 was included on the October bank statement. The deposit had been placed in the banks night deposit vault on September 30. | |
4. | The October 31 deposit of $956 was not included on the October bank statement. The deposit had been placed in the bank's night deposit vault on October 31. | |
5. | Cheques #1006 for $411 and #1072 for $971 were outstanding on September 30. Of these, #1072 cleared the bank in October. All the cheques written in October except for #1278 for $541, #1284 for $631, and #1285 for $311 had cleared the bank by October 31. | |
6. | On October 18, the company issued cheque #1181 for $457 to Helms & Co., on account. The cheque, which cleared the bank in October, was incorrectly journalized and posted by Crane Company for $574. | |
7. | A review of the bank statement revealed that Crane Company received electronic payments from customers on account of $1,871 in October. The bank had also credited the account with $21 of interest revenue on October 31. Crane had no previous notice of these amounts. | |
8. | Included with the cancelled cheques was a cheque issued by Lasik Company for $581 that was incorrectly charged to Crane Company by the bank. | |
9. | On October 31, the bank statement showed an NSF charge of $801 for a cheque issued by W. Hoad, a customer, to Crane Company on account. This amount included a $12 service charge by the bank. The company's policy is to pass on all NSF fees to the customer. |
Prepare the bank reconciliation at October 31. (List items that increase balance as per bank & books first.)
Prepare the necessary adjusting entries at October 31.
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