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Required information [The following information applies to the questions displayed below.] The following information is available to reconcile Branch Company's book balance of cash
Required information [The following information applies to the questions displayed below.] The following information is available to reconcile Branch Company's book balance of cash with its bank statement cash balance as of July 31. a. On July 31, the company's Cash account has a $27,497 debit balance, but its July bank statement shows a $27,233 cash balance. b. Check Number 3031 for $1,482, Check Number 3065 for $382, and Check Number 3069 for $2,281 are outstanding checks as of July 31. c. Check Number 3056 for July rent expense was correctly written and drawn for $1,270 but was erroneously entered in the accounting records as $1,250. d. The July bank statement shows the bank collected $7,955 cash on a note for Branch. Branch had not recorded this event before receiving the statement. e. The bank statement shows an $805 NSF check. The check had been received from a customer, Evan Shaw. Branch has not yet recorded this check as NSF. f. The July statement shows a $25 bank service charge. It has not yet been recorded in miscellaneous expenses because no previous notification had been received. g. Branch's July 31 daily cash receipts of $11,514 were placed in the bank's night depository on that date but do not appear on the July 31 bank statement. 2. Prepare the journal entries necessary to make the company's book balance of cash equal to the reconciled cash balance as of July 31. Note: If no entry is required for a transaction/event, select "No journal entry required" in the first account field. View transaction list Journal entry worksheet 1 2 3 4 5 6 7 Record the adjusting entry required, if any, related to the July 31 cash balance. Note: Enter debits before credits. Transaction a. General Journal Debit Credit > Journal entry worksheet 1 2 3 4 5 6 7 Record the adjusting entry required, if any, related to the outstanding checks. Note: Enter debits before credits. Transaction b. General Journal Debit Credit Record entry Clear entry View general journal > Journal entry worksheet 1 2 3 4 5 6 7 Record the adjusting entry required, if any, related to Check Number 3056. Note: Enter debits before credits. Transaction C. General Journal Debit Credit Record entry Clear entry View general journal > Journal entry worksheet < 1 2 3 4 LO 5 CO 6 7 Record the adjusting entry required, if any, for the collection of the note by bank for Branch. Note: Enter debits before credits. Transaction d. General Journal Debit Credit Record entry Clear entry View general journal > Journal entry worksheet 1 2 3 4 5 6 7 Record the adjusting entry required, if any, related to the NSF check. Note: Enter debits before credits. Transaction e. General Journal Debit Credit Record entry Clear entry View general journal > Journal entry worksheet < 1 2 3 4 5 6 7 Record the adjusting entry required, if any, related to bank service charges. Note: Enter debits before credits. Transaction f. General Journal Debit Credit > Journal entry worksheet 1 2 3 4 5 6 7 Record the adjusting entry required, if any, related to the July 31 deposit. Note: Enter debits before credits. Transaction g. General Journal Debit Credit Answer is complete and correct. BRANCH COMPANY Bank Reconciliation Bank statement balance Add: Deposit of July 31 $ 11,514 11,514 38,747 July 31 $ 27,233 Book balance $ 27,497 Add: Proceeds from note $ 7,955 7,955 35,452 Deduct: Check Number 3031 1,482 Check Number 3065 382 Check Number 3069 2,281 Deduct: NSF check 805 Service charge 25 Error (Check 3056) 20 4,145 Adjusted bank balance $ 34,602 Adjusted book balance 850 $ 34,602
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