Question
Problem 6-23A (Algo) Bank reconciliation and internal control LO 6-1, 6-2, 6-3 Following is a bank reconciliation for Zocar Enterprises for June 30, Year 1.
Problem 6-23A (Algo) Bank reconciliation and internal control LO 6-1, 6-2, 6-3 Following is a bank reconciliation for Zocar Enterprises for June 30, Year 1. Cash Account Balance as of June 30, Year 1 Deposit in transit $25,610 Outstanding checks Note collected by bank Bank service charge NSF check Adjusted cash balance as of June 30, Year 1 1,755 (50) (1,400) $25,915 Bank Statement $22,550 3,725 (360) $25,915 As part of the normal process of handling an NSF check, the accounting clerk has notified the customer that their account did not contain sufficient funds to pay the balance owed to the company. The customer was told that they will need to provide an alternative form of payment to cover the outstanding balance. Required a. Prepare the adjusting entry that the clerk would have made to record the NSF check. c. Assume the clerk had stolen $1,400 cash and recorded an entry for a nonexistent NSF check to reduce the cash balance so that it would match the bank balance. Select the internal control practice that would have most likely prevented this fraud.
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