Question
The following information pertains to Cullumber Company. 1. Cash balance per bank, July 31, $7,988. 2. July bank service charge not recorded by the depositor
The following information pertains to Cullumber Company.
1. | Cash balance per bank, July 31, $7,988. | |
2. | July bank service charge not recorded by the depositor $53. | |
3. | Cash balance per books, July 31, $8,024. | |
4. | Deposits in transit, July 31, $3,360. | |
5. | $2,676 collected for Cullumber Company in July by the bank through electronic funds transfer. The collection has not been recorded by Cullumber Company. | |
6. | Outstanding checks, July 31, $701. |
repare a bank reconciliation at July 31, 2017. (List items that increase balance as per bank & books first.)
CULLUMBER COMPANY | |||
---|---|---|---|
Select an opening section 1 name Deposits in transitOutstanding checksCash balance per bank statementElectronic funds transfer receivedBank service chargeAdjusted cash balance per bank | $Enter a dollar amount | ||
Select between addition and deduction AddLess: | Select a reconciling item Deposits in transitAdjusted cash balance per bankElectronic funds transfer receivedOutstanding checksCash balance per bank statementBank service charge | Enter a dollar amount | |
Enter a subtotal of the two previous amounts | |||
Select between addition and deduction LessAdd: | Select a reconciling item Cash balance per bank statementBank service chargeOutstanding checksDeposits in transitAdjusted cash balance per bankElectronic funds transfer received | Enter a dollar amount | |
Select a closing section 1 name Outstanding checksAdjusted cash balance per bankCash balance per bank statementBank service chargeElectronic funds transfer receivedDeposits in transit | $Enter a total amount for section one | ||
Select an opening section 2 name Adjusted cash balance per booksCash balance per booksOutstanding checksBank service chargeElectronic funds transfer receivedDeposits in transit | $Enter a dollar amount | ||
Select between addition and deduction AddLess: | Select a reconciling item Cash balance per booksDeposits in transitAdjusted cash balance per booksOutstanding checksBank service chargeElectronic funds transfer received | Enter a dollar amount | |
Enter a subtotal of the two previous amounts | |||
Select between addition and deduction AddLess: | Select a reconciling item Adjusted cash balance per booksBank service chargeCash balance per booksOutstanding checksElectronic funds transfer receivedDeposits in transit | Enter a dollar amount | |
Select a closing section 2 name Electronic funds transfer receivedAdjusted cash balance per booksCash balance per booksBank service chargeDeposits in transitOutstanding checks | $Enter a total amount for section two |
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