Question: A table for a monthly bank reconciliation dated September 3 0 is given below. For each item 1 through 1 2 , indicate whether the

A table for a monthly bank reconciliation dated September 30 is given below. For each item 1 through 12, indicate whether the item should be added to or subtracted from the book or bank balance, and whether it should or should not appear on the reconciliation.
Note: Select the answers in the appropriate cells. Leave no cells blank. Be certain to select "NA" in fields which are not applicable.
\table[[Item,Bank Balance,Book Balance,\table[[Debit or],[Credit to Cash],[Account]],\table[[Shown or Not],[Shown on],[Reconciliation]]],[1. Bank service charge for September is not yet recorded by the company.],[2. The company made a month-end accrual for expired insurance coverage.],[3. Deposits mailed to the bank on September 30 had not been recorded by the bank until October 2.],[\table[[4. Check written against the company's account and cleared by the bank erroneously not recorded by],[the company's recordkeeper.]]],[5. Outstanding checks to suppliers existed at the end of September.],[6. The company had outstanding checks to employees on September 30.],[7. Checks written and mailed to payees on October 2.],[8. The company hired a new treasurer.],[\table[[9. The bank received an electronic funds transfer (EFT) and deposited the amount in the company's],[account on September 30. The company has not yet recorded this EFT.],[
 A table for a monthly bank reconciliation dated September 30 is

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