Question: Question 1 of 5 -/6 Current Attempt in Progress On October 31, 2020, Montgomery Manufacturing Ltd. (MML) received its bank statement from the Big Bank.

 Question 1 of 5 -/6 Current Attempt in Progress On October
31, 2020, Montgomery Manufacturing Ltd. (MML) received its bank statement from the
Big Bank. It stated that MML had a balance of $10,000 at

Question 1 of 5 -/6 Current Attempt in Progress On October 31, 2020, Montgomery Manufacturing Ltd. (MML) received its bank statement from the Big Bank. It stated that MML had a balance of $10,000 at October 31. The company's general ledger showed a cash balance of $10,476 at that date. A comparison of the bank statement and the accounting records revealed the following information: Bank service charges for the month were $50. The company had written and mailed out cheques with a value of $1,600 that had not yet cleared the bank. Acheque from one of MML's customers in the amount of $900 that had been deposited during the last week of October was returned with the bank statement as NSF. A payment of $246 for monthly insurance expense was automatically deducted from MML's bank account on October 22. MML's bookkeeper had forgotten to record this transaction. During the month, the company's bookkeeper had recorded a cheque (81872) paid for utilities as $575 rather than $755 (which was the amount written on the cheque and processed by the bank) The cash receipts for October 31 amounted to $700 and had been deposited in the night drop slot at the bank on the evening of October 31. These were not reflected on the bank statement for October (a) Prepare the bank reconciliation for MML at October 31. (List items that increase balance as per bank and books first.) Montgomery Manufacturing Ltd. Bank Reconciliation As of October 31, 2020 10.000 Balance or Bank Statement Question 1 of 5 -76 111 Prepare the bank reconciliation for MML at October 31. (List items that increase balance as per bank and books first.) Montgomery Manufacturing Ltd. Bank Reconciliation As of October 31, 2020 Balance per Bank Statement $ 10.000 Add Deposit in Transit 900 Less Outstanding Cheques Reconciled Balance 10476 a na Balance per Accounting Records 5 Less Bank Service Changes NSF Choo EFT Payment Error Correction on Chooue 1872 5 Fecondo la Balance per Accounting Records V $ Less V: Balance per Accounting Records Balance per Bank Statement Bank Service Charges Deposit in Transit EFT Payment Error Correction on Cheque #1872 NSF Cheque Outstanding Cheques Reconciled Balance $ List of Accounts Save for Later

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