bank reconciliation

Project Description:

el gato painting company maintains a checking account at american bank. bank statements are prepared at the end of each month. the november 30, 2011, reconciliation of the bank balance is as follows: balance per bank, november 30 $3,231 add: deposits outstanding 1,200 less: checks outstanding #363 $123 #365 201 #380 56 #381 86 #382 340 (806) adjusted balance per bank, november 30 $3,625 the company’s general ledger checking account showed the following for december: balance, december 1 $ 3,625 receipts 42,650 disbursements (41,853) balance, december 31 $ 4,422 the december bank statement contained the following information: balance, december 1 $ 3,231 deposits 43,000 checks processed (41,918) service charges (22) nsf checks (440) balance, december 31 $ 3,851 the checks that were processed by the bank in december include all of the outstanding checks at the end of november except for check #365. in addition, there are some december checks that had not been processed by the bank by the end of the month. also, you discovered that check #411 for $320 was correctly recorded by the bank but was incorrectly recorded on the books as a $230 disbursement for advertising expense. included in the bank’s deposits is a $1,300 deposit incorrectly credited to the company’s account. the deposit should have been posted to the credit of the los gatos company. the nsf checks have not been redeposited and the company will seek payment from the customers involved. 1. prepare a bank reconciliation for the el gato checking account at december 31, 2011. 2. prepare any necessary adjusting journal entries indicated.

el gato painting company

balance per bank, november 30 $ 3,231
add: deposits outstanding 1,200
less: checks outstanding
#363 $ 123
#365 201
#380 56
#381 86
#382 340 (806)
adjusted balance per bank, november 30 $ 3,625

general ledger account:
balance, december 1 $ 3,625
receipts 42,650
disbursements (41,853)
balance, december 31 $ 4,422

december bank statement:
balance, december 1 $ 3,231
deposits 43,000
checks processed (41,918)
service charges (22)
nsf checks (440)
balance, december 31 $ 3,851

additional information:
check #411:
correct amount $ 320
amount recorded in books $ 230
deposit not recorded in books $ 1,300
Skills Required:
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Price Type: Negotiable

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