Question: please Part 3 Bank Reconciliation ( 1 0 points ) Using the following information, on a template or a on a blank piece of paper

please Part 3 Bank Reconciliation (10 points)
Using the following information, on a template or a on a blank piece of paper divided into two sections, one section titled bank
balance, the other section titled cheque book balance, prepare a rough draft bank reconciliation statement for Dr. Plunkett. Refer to
Fig. 8.12 in the text as an example. Make manual calculations based on the information provided below:
The bank reported the balance of $2751.16. Your records show a balance of $2823.70. A cheque issued to us from J.P. Sands for
$50.75 was returned NSF. Cheque no.42 is still outstanding. The bank charged $2 for service. Cheque nos. 46 and 53 are
outstanding. The account was debited $10 for interest on the demand loan. Cheque no.55 for $127.50 is outstanding. Cheque stub
no.40 revealed an error: the cheque was recorded as $36 when it should have been $72. The amounts of cheque nos. 42,46, and
53 are $19.75,$75.80, and $68.30, respectively. Bank deposit made but not recorded on bank statement $295.14. Bond interest
paid by bank $37.50. Safety deposit charges $7.50. Date the statement November 30,20dots.i need answer for this questions
 please Part 3 Bank Reconciliation (10 points) Using the following information,

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