ABC Group of Industries reports the following information concerning cash balances and cash transactions for the month of April: A   Cash balance per bank statement as of April 30 was Rs 22,992.50 Two debit memoranda accompany the bank statement: one for Rs: 9 was for service charges for the month; the other for Rs 62.50 was attached to an NSF check from Rizwan. Included with the bank statement was Rs 3123.25 credit memorandum for interest earned on the bank account in April. The paid checks returned with the April bank statement disclosed an error in ABC cash records.  Check no.751 for Rs 67.35 for telephone expense had erroneously been listed in the cash payments journal as Rs 76.35. A collection charge for Rs 25 (not applicable to Daytona) was erroneously deducted from the account by the bank.  Notice that this was the bank’s error. Cash receipts of April 30 amounting to Rs 484.75 were mailed to the bank too late to be included in the April bank statement. Checks outstanding as of April 30 were as follows: no.661 for Rs 161.50, no.657 for Rs 72.55, and no. 669 for Rs 122.45. The cash account showed the following entries during September. CASH April 1 Balance 17,241.52 April 30 Month’s Payments 12,498 April 30 Month’s receipts 15,341.48       Instructions: Prepare a bank reconciliation Statement

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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ABC Group of Industries reports the following information concerning cash balances and cash transactions for the month of April:

A   Cash balance per bank statement as of April 30 was Rs 22,992.50

  1. Two debit memoranda accompany the bank statement: one for Rs: 9 was for service charges for the month; the other for Rs 62.50 was attached to an NSF check from Rizwan.
  2. Included with the bank statement was Rs 3123.25 credit memorandum for interest earned on the bank account in April.
  3. The paid checks returned with the April bank statement disclosed an error in ABC cash records.  Check no.751 for Rs 67.35 for telephone expense had erroneously been listed in the cash payments journal as Rs 76.35.
  4. A collection charge for Rs 25 (not applicable to Daytona) was erroneously deducted from the account by the bank.  Notice that this was the bank’s error.
  5. Cash receipts of April 30 amounting to Rs 484.75 were mailed to the bank too late to be included in the April bank statement.
  6. Checks outstanding as of April 30 were as follows: no.661 for Rs 161.50, no.657 for Rs 72.55, and no. 669 for Rs 122.45.
  7. The cash account showed the following entries during September.

CASH

April 1

Balance

17,241.52

April 30

Month’s Payments

12,498

April 30

Month’s receipts

15,341.48

 

 

 

Instructions:

Prepare a bank reconciliation Statement at September 30.

 

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