Prepare a bank reconciliation statement at 31 march 2013


Camilla Decorations received its bank statement for the month of March 2013. It showed a credit balance of $6,396.70.  The Cash at Bank account on 31 March 2013 had a debit balance of $6,110.70.  The following reconciling items were identified.

1. Un-presented cheques amounted to $3,070.

2. The bank statement included a $25 debit for bank service charges for the month.

3. Cash taking of $2,003 for 31 March was placed in the bank's night safe on that day but was not credited by bank until 1 April 2013.

4. The bank had debited a sum of $810 for a returned cheque originally received from a credit customer, Daniel Anderson in payment of his account for $900.

5. Cheque number 8015 for $128 for sundry stationery items purchased had been incorrectly recorded in the cash book as $182.

Required:

a. Prepare a bank reconciliation statement at 31 March 2013.

b. Prepare journal entries (in general journal format) to bring the business' records up to date.

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Accounting Basics: Prepare a bank reconciliation statement at 31 march 2013
Reference No:- TGS01031256

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