Prepare journal entries for items that should be adjusted


Bank Reconciliation, December 31,2011

balance per ledger December 31, 2011 27253.85

add:

cash receipts received on the last day of December and charged to "cash in bank" on books but not deposited $3715.27

debit memo for customers check returned unpaid (check is on hand but no entry has been made on the books) $450.00

debit memo for bank service charge for December $35.00

Deduct:

checks drawn but not paid b bank (see detailed list below) $3295.15 I BELIEVE THIS NUMBER IS WRONG

credit memo for proceeds of a note receivable that had been left at the bank for collection but which has not been recorded as collected $1200.00

checks for an account payable entered on books as $297.50 but drawn and paid by bank as $694.50

computed balance $26561.97

unlocated difference $416.44

Balance per bank (checked to confirmation) $26978.41

Checks drawn but not paid by bank

no 573 $267.22

no 724 $39.92

no 903 $454.67

no907 $291.80

no 911 $648.29

no913 $737.52

no914 $529.10

no916 $36.00

no917 $117.26

total $3295.15 I believe this total is wrong!!!

A Prepare a corrected reconciliation

B Prepare journal entries for items that should be adjusted prior to closing the books

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Accounting Basics: Prepare journal entries for items that should be adjusted
Reference No:- TGS02594197

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