Cathys Consulting collected its latest bank statement on 1 July 2016. All entries appearing in the bank

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Cathy’s Consulting collected its latest bank statement on 1 July 2016. All entries appearing in the bank statement that had not been entered into the cash journals were entered therein. The cash journals were posted and the resulting balance of the Cash at Bank account in the ledger at 30 June was $30 273 Cr. The balance shown on the bank statement at 30 June was $34 033.24 Dr.

The following items recorded in the cash journals did not appear in the bank statement:

1.    A deposit made on 30 June of $5254.24.

2.    Cheques written during June that had not been presented for payment were:

    Cheque no.    841    $650.6

                            845    $424.9

                           846    $454.5

A cheque written for $48 appeared incorrectly in the bank statement as $84.

Required
Prepare the bank reconciliation statement at 30 June 2016.

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Related Book For  answer-question

Accounting

ISBN: 978-1118608227

9th edition

Authors: Lew Edwards, John Medlin, Keryn Chalmers, Andreas Hellmann, Claire Beattie, Jodie Maxfield, John Hoggett

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