5 Q. Preston receives a bank statement every two weeks. The latest statement received showed a bank overdraft of $4138. However, her Cash Book showed a balance at bank of $8444 on 7 May although both sources Bank Statement Apr 24 27 30 30 May 1 4 7. Balance b/d Cash and cheques Salaries Required a Bank fees Direct deposit: F. Garcia Standing order Equipment b e Debit $ d B 600 80 340 Credit 12 244 1760 16340, showed the same balance on 24 April. Below is an extract from her bank statement as well as additional information. Balance $ Additional information: (1) A deposit of cash and cheques $14 122 made on 6 May had not been recorded. 7218 19 462 10 862 10 782 12 542 12 202 (4 138) (ii) A cheque sent to Stored Right Store on 3 May for $2000 had not been presented to the bank. (ii) The salary cheques totalled $6800 and not $8600 as on the statement. List the dates of the three items on the bank statement that would not have been recorded in Preston's Cash Book. Adjust the Cash Book balance for the information in a. Correct the bank statement balance for the error. Reconcile the two balances in the form of a statement beginning with the corrected bank statement balance and ending with the adjusted Cash Book balance.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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5 Q. Preston receives a bank statement every two weeks. The latest
statement received showed a bank overdraft of $4138. However, her Cash
Book showed a balance at bank of $8444 on 7 May although both sources
Bank Statement
Apr 24
27
30
30
May 1
4
7
Balance b/d
Cash and cheques
Salaries
Bank fees
Direct deposit: F. Garcia
Standing order
Equipment
Debit
$
B 600
80
b
340
Credit
$
12 244
1760
16340,
Balance
$
7218
19 462
10 862
10 782
12 542
12 202
(4 138)
showed the same balance on 24 April. Below is an extract from her bank
statement as well as additional information.
Additional information:
A deposit of cash and cheques $14 122 made on 6 May had not been
recorded.
(ii) A cheque sent to Stored Right Store on 3 May for $2000 had not
been presented to the bank.
(ii) The salary cheques totalled $6800 and not $8600 as on the statement.
Required
ä
List the dates of the three items on the bank statement that would
not have been recorded in Preston's Cash Book.
Adjust the Cash Book balance for the information in a.
Correct the bank statement balance for the error.
Reconcile the two balances in the form of a statement beginning
with the corrected bank statement balance and ending with the
adjusted Cash Book balance.
Transcribed Image Text:5 Q. Preston receives a bank statement every two weeks. The latest statement received showed a bank overdraft of $4138. However, her Cash Book showed a balance at bank of $8444 on 7 May although both sources Bank Statement Apr 24 27 30 30 May 1 4 7 Balance b/d Cash and cheques Salaries Bank fees Direct deposit: F. Garcia Standing order Equipment Debit $ B 600 80 b 340 Credit $ 12 244 1760 16340, Balance $ 7218 19 462 10 862 10 782 12 542 12 202 (4 138) showed the same balance on 24 April. Below is an extract from her bank statement as well as additional information. Additional information: A deposit of cash and cheques $14 122 made on 6 May had not been recorded. (ii) A cheque sent to Stored Right Store on 3 May for $2000 had not been presented to the bank. (ii) The salary cheques totalled $6800 and not $8600 as on the statement. Required ä List the dates of the three items on the bank statement that would not have been recorded in Preston's Cash Book. Adjust the Cash Book balance for the information in a. Correct the bank statement balance for the error. Reconcile the two balances in the form of a statement beginning with the corrected bank statement balance and ending with the adjusted Cash Book balance.
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