How many checks were paid according to september


Preparing a bank reconciliation statement and journalizing entries to adjust the cash balance.

On October 5, Sam Yao, Attorney at Law, received his September bank statement from First Security National Bank. Enclosed with the bank statement was a debit memorandum for $112 that covered an NSF check issued by Julia Anderson, a credit customer. The firm's checkbook contained the following information about deposits made and checks issued during September. The balance of the Cash account and the checkbooks on September 30 was $16,622.

Date

Transactions

Sept.    1

Balance

$13,000


            1

Check 124

200


            3

Check 125

20


            3

Deposit

1,000


            6

Check 126

450


            10

Deposit

820


            11

Check 127

400


            15

Check 128

150


            21

Check 129

120


            22

Deposit

1,460


            25

Check 130

8


            25

Check 131

40


            27

Check 132

70


            28

Deposit

1,800


FIRST SECURITY NATIONAL BANK

            Sam Yao, Attorney-at-Law

            2222 Sam Houston Lane

            Columbus, OH 44106

Account No. 11-4568.03        

Period Ending Sept. 30          

Checks

Deposits

Date

Balance

Beginning Balance

August 31

13,000.00



1,000.00+

September 3

14,000.00

200.00-



September 6

13,800.00

400.00-

20.00-

820.00+

September 11

14,200.00

450.00-



September 15

13,750.00

120.00-



September 19

13,630.00



1,460.00+

September 23

15,090.00

40.00-

8.00-


September 25

15,042.00

7.50- SC

112.00- DM


September 28

14,922.50







Instructions:

(a) Prepare a bank reconciliation statement for the firm as of September 30.

(b) Record general journal entries for any items on the bank reconciliation statement that must be journalized. Date the entries October 5.(c) Analyze: How many checks were paid (cleared the bank) according to the September 30 bank statement?

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