The Agricultural Genetics Company's Cash account in its general ledger reported a balance of $9,242 on May

Question:

The Agricultural Genetics Company's Cash account in its general ledger reported a balance of $9,242 on May 31, 2014. The company's bank statement from Western Bank reported a balance of $11,890 on the same date.

A comparison of the details in the bank statement with the details in the Cash account revealed the following facts:

1. The bank statement included a debit memo of $50 for bank service charges.

2. Cash sales of $1,386 on May 30 were deposited in the bank. The journal entry to record the cash sales and the deposit slip to deposit the cash were correctly made out for $1,386. The bank credited Agricultural Genetics Company for $1,638. The bank found the error and corrected it on June 1.

3. The April 30 deposit of $2,190 was included on the May bank statement. The deposit had been placed in the bank's night deposit vault on April 30.

4. The May 31 deposit of $1,794 was not included on the May bank statement. The deposit had been placed in the bank's night deposit vault on May 31.

5. Cheques #928 for $180 and #1014 for $636 were outstanding on April 30. Of these, #928 cleared the bank in May. All of the cheques written in May except for #1127 for $276, #1195 for $760, and #1196 for $348 had cleared the bank by May 31.

6. On May 18, the company issued cheque #1151 for $495 to L. Kingston, on account. The cheque, which cleared the bank in May, was incorrectly journalized and posted by Agricultural Genetics Company for $945.

7. On May 28, the company issued cheque #1192 for $765 to Bow Graphics for equipment. The cheque was incorrectly recorded by Agricultural Genetics as $675. The cheque cleared the bank on May 30.

8. A review of the bank statement revealed that Agricultural Genetics Company received $2,511 of electronic payments from customers on account in May. Th e bank had also credited the company's account with $24 of interest revenue on May 31. Agricultural Genetics Company had no previous notice of these amounts.

9. On May 31, the bank statement showed an NSF charge of $660 for a cheque issued by Pete Dell, a customer, to Agricultural Genetics Company on account. On the same day, the bank also charged the company a $15 service charge for the returned cheque.

Instructions

(a) Prepare the bank reconciliation at May 31.

(b) Prepare the necessary adjusting entries at May 31.

Taking It Further

What would you say to the Agricultural Genetics Company's bank manager, who is concerned that the company's May 31 Cash account balance shows a different amount than the May 31 bank statement?

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Related Book For  book-img-for-question

Accounting Principles Part 1

ISBN: 978-1118306789

6th Canadian edition

Authors: Jerry J. Weygandt, Donald E. Kieso, Paul D. Kimmel, Barbara Trenholm, Valerie Kinnear, Joan E. Barlow

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