Other bank services fees for the month


Mr. Costello compiled the following information for use in preparing the departed's bank reconciliation on september 30,2006

a. the september 30 balance in the checkbook is $5,612.80
b. the september 30 balance in the bank statement is $4,890.25
c. a comparison of the checks stubs with the cancelled checks revealed that checks in the amount of $316.40 hace not yet cleared the bank
d. the bank statement show a $20 charge for a safe deposit box. the departed does not have a safe deposit box
e. Other bank services fees for the month of september are $24. These appear on the bank statement; they hace not been recorded in the company's books
f. the departed entered check #1805 as $95 in the journal. examination of this cancelled check used to pay an account payable reveals that the correct amount of the check is $59
g. the company made a deposit of $1,015.25 in the night depository on september 30. this deposit does not appear on the bank statement.
h. a customer's check for $15.70 was returned with the bank statement, marked NSF

(1)prepare a bank reconciliation at september 30,2006
(2) journalize the entries required by the reconciliation

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Accounting Basics: Other bank services fees for the month
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