Question: ( B a n k Reconciliation and Adjusting Entries ) The cash account o f Aguilar C o . showed a ledger balance o f

(Bank Reconciliation and Adjusting Entries)
The cash account of Aguilar Co. showed a ledger balance of $3,381.55on June 30,2024. The bank
statement asof that date showed a balance of $5,720.70. Upon comparing the statement with the
cash records, the following facts were determined.
There were bank service charges for June of $35.50.
A bank memo stated that Bao Dai's note for $1,350 and interest revenue of $105 had
been collected on June 29, and the bank had made a charge of $25.00as fees for the
collection. (No entry had been made on Aguilar's books when Bao Dai's note was sent to
the bank for collection.)
Cash receipts for June 30 for $879.50 were not deposited until July 2.
Checks outstanding on June 30 totaled $1,876.45.
The bank had charged the Aguilar Co.'s account for a customer's uncollectible (NSF)
check amounting to $156.80on June 29.
A customer's check for $385 had been deposited correctly at the bank but entered as
$285in the cash receipts journal by Aguilar on June 15.
Check no.742 correctly written in the amount of $650.00 had been entered in the cash
journal as $560.00, and check no.747 correctly written in the amount of $780.50 had
been entered as $875.00. Both checks had been issued to pay for purchases of
equipment which was entered into the ledger correctly on initial transaction. (HINT- Treat
as two separate items on the reconciliation)
Instructions
(a) Prepare a bank reconciliation dated June 30,2024, proceeding to a correct cash balance.
(b)
Prepare any entries necessary to make the general ledger correct and complete.
*Assume sales related to deposit errors were on account. HINT: Your adjustment isan Accounts Receivable issue
?** Assume the check errors related to Equipment purchase was on account, meaning the original
entry to Equipment and Accounts Payable was correct. HINT: Your adjustment isan Accounts
Payable issue.
 (Bank Reconciliation and Adjusting Entries) The cash account of Aguilar Co.

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