Question: In this project you are the controller for Cal s Carwash and you will need to prepare the June 2 0 2 0 bank reconciliation.
In this project you are the controller for Cals Carwash and you will need to prepare
the June bank reconciliation. In order to prepare you will need and are supplied
with The June check register. You will need the check register so you will have the
ending cash balance for Cals Carwash. You will also have a list of all of the checks
written and deposits made during the month of June.
You will also need and are provided the May bank reconciliation. You will
need this so you will have a list of the outstanding checks and deposits in transit from
the month of May.
You are also provided the June bank statement.
You have a separate answer sheet where you are to provide the answers to this
project. On the answer sheet you will:
Provide an adjusted book balance
Provide an adjusted bank balance and of course these two amounts must equal,
ie reconcile
In the adjustments you will need to explain what your adjustments if any are.
You will not need to explain the outstanding checks and deposits in transit. However,
you will have to provide a detail listing of both for the month of June.
For every adjustment you make to the book balance you will need to record a
journal entry. The accounts you may use are cash, interest income, revenues, utility
expense, supplies, phone expense. Any errors that you encounter will be considered
to be errors made by Cals Carwash and the journal entry to correct the error will be
posted to miscellaneous expense.
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