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bachelor in business administration
Polytechnic State University Sanluis
Jan-2006 - Nov-2010
CPA
Polytechnic State University
Jan-2012 - Nov-2016
Professor
Harvard Square Academy (HS2)
Mar-2012 - Present
EX 8-22 Bank reconciliation
Identify the errors in the following bank reconciliation:
|
Alma Co. |
 |  |  |
|
Bank Reconciliation |
 |  |  |
|
For the Month Ended November 30, 2012 |
 |  |  |
|
Cash balance according to bank statement |
 |  |
$12,090 |
|
Add outstanding checks: |
 |  |  |
|
No. 915 |
 |
$850 |
 |
|
960 |
 |
615 |
 |
|
964 |
 |
850 |
 |
|
965 |
 |
775 |
3,090 |
| Â | Â | Â |
$15,180 |
|
Deduct deposit of November 30, not recorded by bank |
 |  |
4,000 |
|
Adjusted balance |
 |  |
$11,180 |
|
Cash balance according to company’s records |
 |  |
$4,430 |
|
Add: Proceeds of note collected by bank: |
 |  |  |
|
Principal |
$5,000 |
 |  |
|
Interest |
200 |
$5,200 |
 |
|
Service charges |
 |
30 |
5,230 |
| Â | Â | Â |
$9,660 |
|
Deduct: Check returned because of insufficient funds |
 |
$1,100 |
 |
|
Error in recording November 23 deposit of $6,100 as $1,600 |
 |
4,500 |
5,600 |
|
Adjusted balance |
 |  |
$4,060 |
Â
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