Question: what else am I doing wrong? The cash account for Norwegian Medical Co. atApni 30 indicated a balance of $403,784. The bankstatement indicated a balance

The cash account for Norwegian Medical Co. atApni 30 indicated a balance of $403,784. The bankstatement indicated a balance of 5468,460 on Apri 30 . Comparing the bank stavement and the accompanying canceled checks and mecos with the records revealed the foliowing reconciling items a Checks outstanding totaled 573,870 . b. Adeposit of $51,230, representing receipts of Apni 30 , had been made bo late to appear on the bank statement. c. The bankcollected $50,630 on a $48,220 nose, including interest of $2,410. d. A check for $9,160 rehurned with the statement had been incortectly recorded by Norwegian Medicat Co. as $916. The check was for the payment ot an obbigation to Universal Supply Co0 fot a purchase en account e. Acheck drawn for $680 had been erroneousiy charged by the bank as $800. t. Bank service charges for Aprel amounted to $170. Bank reconclilation and entries Bank reconcilation and entries \begin{tabular}{|l|l|l|l|l|} \hline Institictions Chart of Accounts & Labels and Amount Descriptions & Bank Reconciliation \\ \hline \end{tabular} Bank Reconciliation 1 Cash balance according to bank statement 2 Add: Deposit of April 30, not recorded by bank s. Bank eror in charging check as $860 instead of 5680 4 Deduct: Outstanding cheds 1. Adjusted batance 1 Cash balance according to conpanyis tecords: 1. Add: Note and interest collected by bank 1. Deduct: Error in recording check th Bank service charges 11 Adiugted halance nequmea. $44600000 Check My Woek
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