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Questions, Problem 11.19 - Bank reconciliation Information about the cash position for Charter Tours Pty Ltd for the month of June is presented below. The
Questions,
Problem 11.19 - Bank reconciliation
Information about the cash position for Charter Tours Pty Ltd for the month of June is presented below.
- The general ledger Cash at Bank account had a balance of $25 200 on 31 May.
- The cash receipts journal showed total cash receipts of $91 592 for June.
- The cash payments journal showed total cash payments of $98 304 for June.
- The June bank statement reported a bank balance of $16 132 on 30 June.
- Outstanding cheques at the end of June were: no. 864, $240; no. 866, $292; and no. 870, 5448.
- Cash receipts of $4800 for 30 June were placed in the bank's night safe on 30 June and were not included in the June bank statement.
- Comparison of the presented cheques with the entries in the cash payments journal disclosed that cheque no. 842 for $1416, for rent expense, had been wrongly recorded as $1380.
- Included on the bank statement were: a total credit for $2936, indicating an electronic transfer of $2720 plus interest earned, which the
bank had credited to the account
a dishonoured cheque written by Vinko Ltd, a client, for $1308
account and transaction fees, $128.
Required
- Set up cash receipts and cash payments journals with totals shown, enter the necessary adjustments, and complete the journals for June
- Post the journals in requirement A to the Cash at Bank account and balance the account.
- Prepare a bank reconciliation statement as at 30 June.
- What is the amount of cash that should be reported on the 30 June balance sheet?
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