Question
Please complete each problem and email it to me as a Word Document. Problem #1 The Solar Company shows the following data: Balance per cash
Please complete each problem and email it to me as a Word Document.
Problem #1
The Solar Company shows the following data:
Balance per cash Account $3,750
Balance per bank statement 3,125
Outstanding Checks 700
Deposits in Transit 3,045
Bank Service Charge 55
Note Collected by bank ($125 is interest) 2,125
NSF Check 350
REQUIRED:
Please prepare a bank reconciliation for the company as of 11/30/17. (15)
Please record any necessary journal entries for The Solar Company. (11)
Problem #2
West Company shows the following data:
Balance per cash account $3,260
Balance per bank statement 3,908
Outstanding Checks 1,400
Deposit in transit 3,972
Bank service charge 75
Note collected by bank ($340=interest) 3,340
Check returned by the bank for insufficient funds 225
Error in recording a check for office supplies. The amount on the check is $350, but it was recorded as $530.
REQUIRED:
Please prepare a bank reconciliation for the company as of 11/30/17. (15)
Please record any necessary journal entries for West Company. (14)
Problem #3
Please record in general journal format, the following petty cash transactions for Smith Company.
June 1 Check was issued for $500 to establish a petty cash fund. (5)
June 15 A check was issued to replenish the fund based upon the following receipts/ information: (10)
Store supplies $75.77
Delivery charges 97.26
Postage fees 67.25
Parking fees 57.00
Miscellaneous fees 20.73
The cash drawer contained 187.00
June 20 Check was written to decrease the amount of the petty cash fund to $400. (5)
June 30 A check was issued to replenish the fund based upon the following receipts/information: (10)
Office supplies $85.79
Delivery charges 67.55
Postage fees 72.00
Parking fees 58.00
Miscellaneous fees 40.73
The cash drawer contained 73.50
Problem #4
Please record in general journal format, the following petty cash transactions for ACE Company.
April 1 Check was written for $200 to establish a petty cash fund. (5)
April 15 Check was issued to replenish the fund based upon the following receipts/information: (10)
Office supplies $25.98
Delivery charges 57.14
Postage fees 77.25
Parking fees 27.00
The cash drawer contained 11.00
April 25 Check was issued to increase the amount of the fund to $300. (5)
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