Question: Check my workCheck My Work button is now enabled Item 3 The following information is available for Pyle Garage for March, Year 2: BANK STATEMENT
Check my workCheck My Work button is now enabled
Item 3
The following information is available for Pyle Garage for March, Year 2:
| BANK STATEMENT HAZARD STATE BANK 215 MAIN STREET HAZARD, GA 30321 | |||||||||||
| Pyle Garage 629 Main Street HAZARD, GA 30321 | Account number 62-00062 March 31, Year 2 | ||||||||||
| Beginning balance 3/1/Year 2 | $9,063 | ||||||||||
| Total deposits and other credits | 30,048 | ||||||||||
| Total checks and other debits | 24,959 | ||||||||||
| Ending balance 3/31/Year 2 | 14,152 | ||||||||||
| Checks and Debits | Deposits and Credits | ||||||||||
| Check No. | Amount | Date | Amount | ||||||||
| 1462 | $ | 3,789 | March | 1 | $ | 1,131 | |||||
| 1463 | 1,676 | March | 2 | 6,539 | |||||||
| 1464 | 8,034 | March | 6 | 4,968 | |||||||
| 1465 | 2,936 | March | 12 | 6,204 | |||||||
| 1466 | 1,442 | March | 17 | 6,000 | |||||||
| 1467 | 6,217 | March | 22 | 2,120 | |||||||
| DM | 55 | CM | 3,086 | ||||||||
| 1468 | 810 | ||||||||||
The following is a list of checks and deposits recorded on the books of Pyle Garage for March, Year 2:
| Date | Check No. | Amount of Check | Date | Amount of Deposit | ||||||||
| March | 1 | 1463 | $ | 1,676 | March | 1 | $ | 6,539 | ||||
| March | 5 | 1464 | 8,034 | March | 5 | 4,968 | ||||||
| March | 6 | 1465 | 2,936 | |||||||||
| March | 9 | 1466 | 1,442 | March | 10 | 6,204 | ||||||
| March | 10 | 1467 | 6,217 | |||||||||
| March | 14 | 1468 | 125 | March | 16 | 6,000 | ||||||
| March | 19 | 1469 | 1,534 | March | 19 | 2,120 | ||||||
| March | 28 | 1470 | 778 | March | 29 | 3,583 | ||||||
Other Information
-
Check no. 1462 was outstanding from February.
-
A credit memo for collection of accounts receivable was included in the bank statement.
-
All checks were paid at the correct amount.
-
The bank statement included a debit memo for service charges.
-
The February 28 bank reconciliation showed a deposit in transit of $1,131.
-
Check no. 1468 was for the purchase of equipment.
-
The unadjusted Cash account balance at March 31 was $13,077.
Required:
-
Prepare the bank reconciliation for Pyle Garage at the end of March.
-
Explain how the adjustments described above affect the cash account.
Complete this question by entering your answers in the tabs below.
- Required A
Prepare the bank reconciliation for Pyle Garage at the end of March. (Negative amounts should be indicated with minus sign.)
| ||||||||||||||||||||||||||||||||||||||||
- Required B
Explain how the adjustments described above affect the cash account. (Select "Not affected" if there is no affect on the "Cash account".)
|
Step by Step Solution
There are 3 Steps involved in it
Get step-by-step solutions from verified subject matter experts
