On July 31, 2019, the balance in Bay City Kitchen Appliance's checkbook and Cash account was $8,318.59.

Question:

On July 31, 2019, the balance in Bay City Kitchen Appliance's checkbook and Cash account was $8,318.59. The balance shown on the bank statement on the same date was $9,442.03.
Notes
a. The following checks were issued but have not yet been paid by the bank: Check 533 for $151.95, Check 535 for $122.50, and Check 537 for $625.40.
b. A credit memorandum shows that the bank has collected a $1,447 note receivable and interest of $30 for the firm. These amounts have not yet been entered in the firm's records.
c. The firm's records indicate that a deposit of $994.07 made on July 31 does not appear on the bank statement.
d. A service charge of $14.34 and a debit memorandum of $245 covering an NSF check have not yet been entered in the firm's records. (The check was issued by Roberta LaFollette, a credit customer.)
INSTRUCTIONS
1. Prepare a bank reconciliation statement for the firm as of July 31, 2019.
2. Record general journal entries for any items on the bank reconciliation statement that must be journalized. Date the entries July 31, 2019.
Analyze:
After all journal entries have been recorded and posted, what is the balance in the Cash account?
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Related Book For  book-img-for-question

College Accounting A Contemporary Approach

ISBN: 978-0077639730

4th edition

Authors: David Haddock, John Price, Michael Farina

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