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Reporting Cash on the Balance Sheet Your audit of Watt Corporation discovers the following information: Reconciled balance in First National Bank checking account $3,625.80 Reconciled
Reporting Cash on the Balance Sheet Your audit of Watt Corporation discovers the following information:
Reconciled balance in First National Bank checking account | $3,625.80 |
Reconciled balance in City National Bank checking account | (40.20) |
Balance in First Federal savings account | 35,291.00 |
Certificate of deposit | 30,000.00 |
Employee's IOU | 125.00 |
Employees' travel advances | 1,640.00 |
Cash on hand (undeposited sales receipts) | 1,432.10 |
Prepaid debit card | 600.00 |
Customer's postdated check | 290.40 |
Required:
1. What amount should be reported as cash on Watt's balance sheet? (Place the necessary items in the same order as they are provided in the information.) Round your answers to nearest cent, if required.
Watt's Corporation | |
Cash Balance Report | |
$fill in the blank ee728604200c039_2 | |
fill in the blank ee728604200c039_4 | |
fill in the blank ee728604200c039_6 | |
fill in the blank ee728604200c039_8 | |
Cash balance reported on balance sheet | $fill in the blank ee728604200c039_9 |
2. Describe the balance sheet treatment of the items not included in the cash balance.
Classification | ||
Reconciled balance in First National Bank checking account | ||
Reconciled balance in City National Bank checking account | ||
Balance in First Federal savings account | ||
Certificate of deposit | ||
Employee's IOU | ||
Employees' travel advances | ||
Cash on hand (undeposited sales receipts) | ||
Prepaid debit card | ||
Customer's postdated check |
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