Prepare the monthly bank reconciliation


Problem: Imagine you are the accountant for Floral Design Company and are assigned to prepare the monthly bank reconciliation. Complete this task, by using the data below:

1. Complete the bank reconciliation for the month of June.

2. Prepare the journal entries required by the reconciliation.

Floral Design Company's bank statement for June shows the following data:

Balance on June 1 $12,350.
NSF check $175.
Balance on June 30 $14,280.
Collection of note receivable $505.

The cash balance per books at June 30, was $13,292. Your review of the data reveals the following:

1. The NSF check was from Bobble Co, a customer.
2. The note collected by the bank was a $500 note with $5 interest.
3. Outstanding checks at June 30 total $2410.
4. Deposits in transit at June 30 total $1752.

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Accounting Basics: Prepare the monthly bank reconciliation
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