Prepare a bank reconciliation for Diaz's checking account on May 31st, 2021. (amounts to be deducted should be indicated with a minus sign. Total entries to the same amount together when entering in the bank reconciliation.)
DIAZ ENTERTAINMENT Cash Account Records May 1, 2021, to May 31, 2021 Cash Balance May 31, 2021 $5,440 Cash Balance Cash May 1, 2021 + Receipts $5,450 $11,190 Cash Receipts Date Desc 5/3 Sales 5/10 Sales 5/17 Sales 5/24 Sales 5/31 Sales Amount $ 1,290 1,720 2,350 2,820 3,010 Date 5/7 5/12 5/15 5/22 5/30 5/31 Cash Disbursements $11,200 Cash Disbursements Check# Desc. 471 Legal fees 472 Property tax 473 Salaries 474 Advertising 475 Supplies 476 Salaries Amount $ 1,130 1,500 3,430 1,330 380 3,430 $11,200 $11, 190 Member FDIC Midwest Bank Looking Out For You P.0. Box 162647 Bowlegs, OK 74830 (405) 369-CASH Account Holder: 7772854360 May 31, 2021 Diaz Entertainment Account Number: 124 Saddle Blvd, Bowlegs, OK 74830 Statement Date: Account Summary Withdrawals and Deposits and Credits Debits NO Total NO Total Beginning Balance Mav. 1. 2021 Ending Balance May 31 2021 Prev 1 2 of 3 Next > Check my work Member FDIC 7772854368 May 31, 2021 Ending Balance May 31, 2021 $6,803 P.0. Box 162647 Midwest Bank Bowlegs, OK 74830 Looking Out For You (405) 369-CASH Account Holder: Diaz Entertainment Account Number: 124 Saddle Blvd, Bowlegs, OK 74830 Statement Date: Account Summary Withdrawals and Beginning Balance Deposits and Credits Debits May 1, 2021 NO. Total NO. Total 56,090 7 $9,436 9 $8,723 Account Details Deposits and Credits Withdrawals and Debits Date Amount Desc. Date No. Amount Desc. 5/4 $ 1,290 DEP 5/1 469 $ 380 CHK 5/11 1,720 DEP 5/2 470 260 CHK 5/18 2,350 DEP 5/9 471 1,130 CHK 5/20 1,200 NOTE 5/11 230 NSF 5/20 43 INT 5/12 472 1,500 CHK 5/25 2,820 DEP 5/18 473 3,430 CHK 5/31 13 INT 5/20 430 EFT 5/25 474 1,330 CHK 5/31 33 SF $ 9,436 $8,723 Daily Balance Date Amount 5/1 $5,710 5/2 5,450 5/4 6,740 5/9 5,610 5/11 7.100 5/12 5,600 5/18 4,520 5/20 5,333 5/25 6,823 5/31 $6,803 Desc. DEP Customer deposit NOTE Note collected INT Interest earned CHK Customer check SF Service fees NSF Nonsufficient funds Desc. DEP Customer deposit NOTE Note collected EFT Electronic funds transfer INT Interest earned CHK Customer check SF Service fees NSF Nonsufficient funds Additional information: a. The difference in the beginning balances in the company's records and the bank statement relates to checks #469 and #470, which are outstanding as of April 30, 2021 (prior month). b. The bank made the EFT on May 20 in error. The bank accidentally charged Diaz for payment that should have been made on another account. Required: 1. Prepare a bank reconciliation for Diaz's checking account on May 31, 2021. (Amounts to be deducted should be indicated with a minus sign. Total entries to the same account together when entering in the bank reconciliation.) DIAZ ENTERTAINMENT Bank Roconciliation May 31, 2021 Company's Cash Balance Por general ledger Bank's Cash Balance Per bank statement Required: 1. Prepare a bank reconciliation for Diaz's checking account on May 31, 2021. (Amounts to be deducted should be indicated with a minus sign. Total entries to the same account together when entering in the bank reconciliation.) DIAZ ENTERTAINMENT Bank Reconciliation May 31, 2021 Company's Cash Balance Per general ledger Bank's Cash Balance Per bank statement Bank balance per reconciliation Company balance per reconciliation