Question
The bookkeeper for Oriole Manufacturing Ltd. was trying to determine what items would be used in preparing the companys bank reconciliation that she is completing
The bookkeeper for Oriole Manufacturing Ltd. was trying to determine what items would be used in preparing the companys bank reconciliation that she is completing at May 31, 2021, the end of the companys first month of operations. The companys bank statement showed the following:
ORIOLEMANUFACTURING LTD. Bank Statement May 31 | ||||||||||
---|---|---|---|---|---|---|---|---|---|---|
Date | Description | Amounts Deducted from Account (Debits) | Amounts Added to Account (Credits) | Balance | ||||||
May | 1 | Deposit | 27,500 | 27,500 | ||||||
3 | Cheque, No. 001 | 1,776 | 25,724 | |||||||
5 | Cheque, No. 002 | 7,849 | 17,875 | |||||||
15 | Deposit | 5,115 | 22,990 | |||||||
19 | Cheque, No. 004 | 9,121 | 13,869 | |||||||
21 | Cheque, No. 006 | 1,096 | 12,773 | |||||||
25 | Returned chequeNSF, S. Gillis | 1,485 | 11,288 | |||||||
25 | NSF fee | 35 | 11,253 | |||||||
27 | Cheque, No. 009 | 2,345 | 8,908 | |||||||
28 | Cheque, No. 010 | 2,161 | 6,747 | |||||||
31 | Bank service charges | 47 | 6,700 |
Orioles summary of cash receipts (which were all deposited) and summary of cheques (which were all mailed out to suppliers) for the month of May showed the following:
Cash Receipts | Cash Payments | ||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Date | Amount | Date | Number | Amount | |||||||
May | 1 | $ 27,500 | May | 2 | 001 | $ 1,776 | |||||
15 | 5,115 | 3 | 002 | 7,849 | |||||||
31 | 8,596 | 14 | 003 | 1,850 | |||||||
$ 41,211 | 15 | 004 | 9,121 | ||||||||
18 | 005 | 393 | |||||||||
19 | 006 | 1,096 | |||||||||
22 | 007 | 2,349 | |||||||||
23 | 008 | 585 | |||||||||
25 | 009 | 2,345 | |||||||||
26 | 010 | 2,161 | |||||||||
$ 29,525 |
Review Orioles cheque summary and determine the amount of any cheques that have not yet cleared the companys bank account. These will be outstanding cheques. (Hint: It can be useful to check off or cross out the cheques that appear on both the bank statement and the cheque summary because these will not be outstanding cheques.)
Outstanding Cheques: | |||
---|---|---|---|
select an item Cheque No. 001 May 2Cheque No. 002 May 3Cheque No. 003 May 14Cheque No. 004 May 15Cheque No. 005 May 18Cheque No. 006 May 19Cheque No. 007 May 22Cheque No. 008 May 23Cheque No. 009 May 25Cheque No. 010 May 26 | $ enter a dollar amount | ||
select an item Cheque No. 001 May 2Cheque No. 002 May 3Cheque No. 003 May 14Cheque No. 004 May 15Cheque No. 005 May 18Cheque No. 006 May 19Cheque No. 007 May 22Cheque No. 008 May 23Cheque No. 009 May 25Cheque No. 010 May 26 | enter a dollar amount | ||
select an item Cheque No. 001 May 2Cheque No. 002 May 3Cheque No. 003 May 14Cheque No. 004 May 15Cheque No. 005 May 18Cheque No. 006 May 19Cheque No. 007 May 22Cheque No. 008 May 23Cheque No. 009 May 25Cheque No. 010 May 26 | enter a dollar amount | ||
select an item Cheque No. 001 May 2Cheque No. 002 May 3Cheque No. 003 May 14Cheque No. 004 May 15Cheque No. 005 May 18Cheque No. 006 May 19Cheque No. 007 May 22Cheque No. 008 May 23Cheque No. 009 May 25Cheque No. 010 May 26 | enter a dollar amount | ||
$ enter a total amount |
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