Question: CLICK HERE TO REVIEW LEARNING OE ECTIVES QUESTION 1 Notyet a Bank Reconciliation On July 31, Sullivan Company's Cash in Bank account had a balance

 CLICK HERE TO REVIEW LEARNING OE ECTIVES QUESTION 1 Notyet a

CLICK HERE TO REVIEW LEARNING OE ECTIVES QUESTION 1 Notyet a Bank Reconciliation On July 31, Sullivan Company's Cash in Bank account had a balance of $7,938.26. Peints out of toco qustien On that date, the bank statement indicated a balance of $10,008.41. A comparison of returned checks and bank advices revealed the following 1. Deposits in transit July 31 amounted to $3,934.64. 2. Outstanding checks July 31 totaled $1,614.69 e bank erroneously charged a $357 50 check of Solomon Company against the Sullivan bank account. 4. A bank service charge has not yet been recorded by Sullivan Company of $27.50. n neglected to record $4,400.00 borrowed from the bank on a ten percent six-month note. The bank statement shows the $4,400.00 as a deposit 6. Included with the returned check Martin, customer, had sent the check to pay an account of $726.00 less a $22 discount. 7. Sullivan Company recorded a $119.90 payment for repairs as $1,199.00 a. Prepare bank reconciliation for Sullivan Company at july 31. b. Prepare the journal entry lor entries) necessary to bring the Cash in Bank account into agreement with the reconciled cash balance on the bank reconpiliation. SULLIVAN COMPANY

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