Question: Hi get some help with these 2 questions please Question 2 The Bank Statement and Cash Book (bank columns only) for Jennie Brown for the
Question 2 The Bank Statement and Cash Book (bank columns only) for Jennie Brown for the month of July 2021 are as follows. Bank Statement Debit Credit Balance 2021 $ $ $ July 01 Balance 57 OD July 03 123456 150 207 OD July 14 Sundry credit 210 3 July 18 Interest Charge 24 21 OD July 20 Sundry eredit 350 329 July 22 123457 222 107 July 24 Standing order-rent 10 97 July 25 Sundry eredit 410 July 25 Sundry credit 121 628 July 26 Credit transfer - Mills 25 653 July 28 423460 100 553 July 30 123459 405 148 507 Cash Book (bank columns only) 2021 $ 2015 July 14 Cheque G Smith 210 July 01 Balance blf 57 July 20 Cash Sales 350 July 03 Electricity (123456) 150 July 25 Cheque F Jones 410 July 22 Wages (123457) July 25 Cheque R Black 121 July 23 Purchases (123458) 415 July 30 Cheque W Wayne 196 July 30 Rent (123459) 405 July 31 Balance of 9 July 30 Purchases (123460) 47 4.180 1.296 222 a) Prepare the updated Cash book to show the adjusted balance. (4 marks) b) Starting with the updated cash book balance, draw up a bank reconciliation statement for Jennie Brown for the month of July 2021
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