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Tree Top Company's bank stater Cancel March 31, 2021, follows. Tree Top Company rents canoes for use on local lakes and rivers and also carries

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Tree Top Company's bank stater Cancel March 31, 2021, follows. Tree Top Company rents canoes for use on local lakes and rivers and also carries and sells T-shirts with its logo printed on them. Tree Top Company has decided to open a new chequing account at Stream City Bank during March 2021. Tree Top Company's March Cash T-account for the new cash account from its general ledger is as follows 5 Click the icon to view the T-account.) (Click the icon to view the bank statement.) Requ red Bank Reconciliation for Stream City Bank Chequing Account March 31, 2021 BOOKS BANK ADD ADD 6 of 22 (5 complete) This Q T-account - - X ted March 31, 2021, follows nes for use on locall ed on them. Tree To ity Bank during Mard sh account from its ne T-account.) tatement.) Bank Red h 2 Deposit Cash-Stream City Bank Chequing Account Mar. 1 Balance 0 15,000 900 Mar 2 Cha#101 13 Deposit 3,000 4,100 4 Cha#102 20 Deposit 4,000 550 9 Cha#103 27 Deposit 1,000 1,425 14 Cha#104 31 Deposit 3,260 1,200 21 Cha#105 BANK any number in the Print Done Begin by journalizing the EFT bank collection on account from T-shirt Ted (a customer) Date Accounts and Explanation Debit Credit Mar 31 (a) Next record the interest earned Date Accounts and Explanation Debit Credit Mar. 31 (b) Record the EFT payment to Print Craze. Date Accounts and Explanation Debit Credit Mar. 31 (c) ITOLUIU LEI payment ID vile Energy Date Accounts and Explanation Debit Credit Mar. 31 (d) IcCuiu e UN SUIVICU Cildiyes. Date Accounts and Explanation Debit Credit Mar 31 (e) Requirement 3. Compute the adjusted account balance for the Cash Taccount, and denote the balance as End Bol Does the adjustod balance of the Cash Taccount match the adjusted book balance on the bank reconciliation? Start by computing the adjusted account balance for the Cash Taccount. Enter the unadjusted balance along with a "Mar. 31 Unad alreference on the first line of the Taccount Post the adjusting entries, along with the appropriate references (ie, use a "Mar 31 (a)"roforence to post adjusting entry (a) from requirement 2, and so on) using the next three lines of the T-account as needed. Finally, post the adjusted balance of the account along with a "Mar. 31 End Bal" reference on the final line of the Taccount Choose from any list or enter any number in the input fields and then continue to the next question. Cash-Stream City Bank Chequing Account The adjusted balance of the Cash-Stream City Bank Chequing Account T-account the adjusted book balance on the bank reconciliation Tree Tree Top Company rents canoes for use on local lakes and rivers and also carries and sells T-shirts with its logo printed on them. Tree Top Company has decided to open a new chequing account at Stream City Bank during March 2021. Tree Top Company's March Cash T-account for the new cash account from its general ledger is as follows. E: (Click the icon to view the T-account.) Regu Top Company nas uecided to open a new Local The LA CARSON March TAT pt.) - i Bank Statement $ 0 Beginning Balance, March 1, 2021 Deposits and other credits: Mar. 2 $ 14 15,000 3,000 4,000 1,000 21 in 28 29 EFT T-shirt Ted" 650 Print Done Tree Top Company's bank stater Cancel March 31, 2021, follows. Tree Top Company rents canoes for use on local lakes and rivers and also carries and sells T-shirts with its logo printed on them. Tree Top Company has decided to open a new chequing account at Stream City Bank during March 2021. Tree Top Company's March Cash T-account for the new cash account from its general ledger is as follows 5 Click the icon to view the T-account.) (Click the icon to view the bank statement.) Requ red Bank Reconciliation for Stream City Bank Chequing Account March 31, 2021 BOOKS BANK ADD ADD 6 of 22 (5 complete) This Q T-account - - X ted March 31, 2021, follows nes for use on locall ed on them. Tree To ity Bank during Mard sh account from its ne T-account.) tatement.) Bank Red h 2 Deposit Cash-Stream City Bank Chequing Account Mar. 1 Balance 0 15,000 900 Mar 2 Cha#101 13 Deposit 3,000 4,100 4 Cha#102 20 Deposit 4,000 550 9 Cha#103 27 Deposit 1,000 1,425 14 Cha#104 31 Deposit 3,260 1,200 21 Cha#105 BANK any number in the Print Done Begin by journalizing the EFT bank collection on account from T-shirt Ted (a customer) Date Accounts and Explanation Debit Credit Mar 31 (a) Next record the interest earned Date Accounts and Explanation Debit Credit Mar. 31 (b) Record the EFT payment to Print Craze. Date Accounts and Explanation Debit Credit Mar. 31 (c) ITOLUIU LEI payment ID vile Energy Date Accounts and Explanation Debit Credit Mar. 31 (d) IcCuiu e UN SUIVICU Cildiyes. Date Accounts and Explanation Debit Credit Mar 31 (e) Requirement 3. Compute the adjusted account balance for the Cash Taccount, and denote the balance as End Bol Does the adjustod balance of the Cash Taccount match the adjusted book balance on the bank reconciliation? Start by computing the adjusted account balance for the Cash Taccount. Enter the unadjusted balance along with a "Mar. 31 Unad alreference on the first line of the Taccount Post the adjusting entries, along with the appropriate references (ie, use a "Mar 31 (a)"roforence to post adjusting entry (a) from requirement 2, and so on) using the next three lines of the T-account as needed. Finally, post the adjusted balance of the account along with a "Mar. 31 End Bal" reference on the final line of the Taccount Choose from any list or enter any number in the input fields and then continue to the next question. Cash-Stream City Bank Chequing Account The adjusted balance of the Cash-Stream City Bank Chequing Account T-account the adjusted book balance on the bank reconciliation Tree Tree Top Company rents canoes for use on local lakes and rivers and also carries and sells T-shirts with its logo printed on them. Tree Top Company has decided to open a new chequing account at Stream City Bank during March 2021. Tree Top Company's March Cash T-account for the new cash account from its general ledger is as follows. E: (Click the icon to view the T-account.) Regu Top Company nas uecided to open a new Local The LA CARSON March TAT pt.) - i Bank Statement $ 0 Beginning Balance, March 1, 2021 Deposits and other credits: Mar. 2 $ 14 15,000 3,000 4,000 1,000 21 in 28 29 EFT T-shirt Ted" 650 Print Done

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