The following information relates to the cash position of Cathy Fraser, loan broker: 1. Cash at Bank

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The following information relates to the cash position of Cathy Fraser, loan broker:

1. Cash at Bank account balance as at 30 June 2016: $45 451 debit.

2. Bank statement balance as at 30 June 2016: $47 512 credit.

3. 30 June receipts amounting to $1820 have not been deposited.

4. Cheques issued but not presented total $3468.

5. A $312 cheque was returned marked ‘dishonoured’. The cheque had been received from J. Simms, a new customer.

6. A $750 deposit made by L. Richards was incorrectly credited to the bank account of Cathy Fraser.

7. The bank statement shows that the bank has charged the business’s account with fees and charges of $25.

8. Items 5, 6 and 7 have not yet been entered in the cash journals.

Required

Prepare a bank reconciliation at 30 June 2016 based on the provided information.

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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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