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On October 31 Larkspur Ltd. received its bank statement from Provincial Bank. It stated that Larkspur had a balance of $9,660 at October 31. The
On October 31 Larkspur Ltd. received its bank statement from Provincial Bank. It stated that Larkspur had a balance of $9,660 at October 31. The companys general ledger showed a cash balance of $10,220 at that date. A comparison of the bank statement and the accounting records revealed the following information:
Bank service charges for the month were $40. | ||
The company had written and mailed out cheques with a value of $1,530 that had not yet cleared the bank. | ||
A cheque from one of Larkspurs customers in the amount of $800 that had been deposited during the last week of October was returned with the bank statement as NSF. | ||
An electronic funds transfer payment (EFT) of $250 for monthly insurance expense was automatically deducted from Larkspurs bank account on October 22. Larkspurs bookkeeper had forgotten to record this transaction. | ||
During the month, the companys bookkeeper had recorded a cheque (#1872) paid for utilities as $575 rather than $755 (which was the amount written on the cheque and processed by the bank). | ||
The cash receipts for October 31 amounted to $820 and had been deposited in the night drop slot at the bank on the evening of October 31. These were not reflected on the bank statement for October |
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