Brett Knight operates four bowling alleys. He just received the October 31 bank statement from City National

Question:

Brett Knight operates four bowling alleys. He just received the October 31 bank statement from City National Bank, and the statement shows an ending balance of $905. Listed on the statement are an EFT rent collection of $410, a service charge of $10, NSF checks totaling $70, and a $30 charge for printed checks. In reviewing his cash records, Knight identified outstanding checks totaling $450 and a deposit in transit of $1,775. During October, he recorded a $310 check by debiting Salary expense and crediting Cash for $31. His Cash account shows an October 31 balance of $2,209.

Requirements

1. Prepare the bank reconciliation at October 31.

2. Journalize any transactions required from the bank reconciliation.


Fantastic news! We've Found the answer you've been seeking!

Step by Step Answer:

Related Book For  book-img-for-question

Financial and Managerial Accounting

ISBN: 978-0132497978

3rd Edition

Authors: Horngren, Harrison, Oliver

Question Posted: