Question
The following information pertains to Pharoah Company. 1. Cash balance per bank, July 31, $7,588. 2. July bank service charge not recorded by the depositor
The following information pertains to Pharoah Company.
1. | Cash balance per bank, July 31, $7,588. | |
2. | July bank service charge not recorded by the depositor $45. | |
3. | Cash balance per books, July 31, $7,624. | |
4. | Deposits in transit, July 31, $2,960. | |
5. | $2,276 collected for Pharoah Company in July by the bank through electronic funds transfer. The collection has not been recorded by Pharoah Company. | |
6. | Outstanding checks, July 31, $693 |
Prepare a bank reconciliation at July 31, 2017. (List items that increase balance as per bank & books first.)
PHAROAH COMPANY Bank Reconciliation choose the accounting period For the Month Ended July 31, 2017For the Year Ended July 31, 2017July 31, 2017 | |||
---|---|---|---|
select an opening name for section one Cash balance per bank statementOutstanding checksDeposits in transitElectronic funds transfer receivedBank service chargeAdjusted cash balance per bank | $enter a dollar amount | ||
select between addition and deduction LessAdd: | select a reconciling item Adjusted cash balance per bankCash balance per bank statementOutstanding checksDeposits in transitElectronic funds transfer receivedBank service charge | enter a dollar amount | |
enter a subtotal of the two previous amounts | |||
select between addition and deduction LessAdd: | select a reconciling item Adjusted cash balance per bankBank service chargeDeposits in transitElectronic funds transfer receivedCash balance per bank statementOutstanding checks | enter a dollar amount | |
select a closing name for section one Outstanding checksBank service chargeDeposits in transitAdjusted cash balance per bankElectronic funds transfer receivedCash balance per bank statement | $enter a total amount for the first section | ||
select an opening name for section two Bank service chargeOutstanding checksCash balance per booksAdjusted cash balance per booksDeposits in transitElectronic funds transfer received | $enter a dollar amount | ||
select between addition and deduction AddLess: | select a reconciling item Adjusted cash balance per booksElectronic funds transfer receivedDeposits in transitCash balance per booksOutstanding checksBank service charge | enter a dollar amount | |
enter a subtotal for the two previous amounts | |||
select between addition and deduction AddLess: | select a reconciling item Adjusted cash balance per booksElectronic funds transfer receivedBank service chargeDeposits in transitCash balance per booksOutstanding checks | enter a dollar amount | |
select a closing name for section two Electronic funds transfer receivedOutstanding checksDeposits in transitCash balance per booksBank service chargeAdjusted cash balance per books | $enter a total amount for the second section |
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