Additional data for the bank reconciliation include the following: The EFT deposit was a receipt of monthly rent. The EFT debit was a monthly insurance payment. The unauthorized signature check was received from Free Tiboy. The P68,400 bank collection of a note receivable on April 22 included P9,250 interest revenue. The correct amount of check number 4115, a payment on account, is P69,500. (Banyo De Orocan’s accountant mistakenly recorded the check for P96,500). REQUIRED: Prepare a bank reconciliation as of April 30, 2021. Prepare adjusting entries in the books of Banyo De Orocan Company.
Additional data for the bank reconciliation include the following: The EFT deposit was a receipt of monthly rent. The EFT debit was a monthly insurance payment. The unauthorized signature check was received from Free Tiboy. The P68,400 bank collection of a note receivable on April 22 included P9,250 interest revenue. The correct amount of check number 4115, a payment on account, is P69,500. (Banyo De Orocan’s accountant mistakenly recorded the check for P96,500). REQUIRED: Prepare a bank reconciliation as of April 30, 2021. Prepare adjusting entries in the books of Banyo De Orocan Company.
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
Related questions
Question
Additional data for the bank reconciliation include the following:
- The EFT deposit was a receipt of monthly rent. The EFT debit was a monthly insurance payment.
- The unauthorized signature check was received from Free Tiboy.
- The P68,400 bank collection of a note receivable on April 22 included P9,250 interest revenue.
- The correct amount of check number 4115, a payment on account, is P69,500. (Banyo De Orocan’s accountant mistakenly recorded the check for P96,500).
REQUIRED:
- Prepare a bank reconciliation as of April 30, 2021.
- Prepare
adjusting entries in the books of Banyo De Orocan Company.

Transcribed Image Text:The cash receipts and the cash payments of Banyo De Qrocan Company for April 2021 follow:
Cash Receipts (CR)
Cash Debit
Cash Payments (CP)
Check No.
Date
Cash Credit
April
2
P
208,700
4113
44,550
20,350
4114
7,350
10
27,950
4115
96,500
16
109,350
4116
33,200
22
92,700
4117
73,600
53,000
16,850
528,900
29
4118
50,000
30
4119
31,600
Total
P.
4120
83,750
4121
5,000
120,650
546,200
4122
Total
P.
The cash account of Banyo De Qrocan Company shows the following information on April 30, 2021:
CASH
Date
Item
Ref.
Debit
Credit
Balance
95,550
624,450
78,250
April
1
Balance
30
CR 6
528,900
30
СР 11
546,200

Transcribed Image Text:Banyo De Qrocan Company received the following bank statement on April 30, 2021:
Bank Statement for April 2021
Beginning balance
Deposits and other credits:
April 1
April 4
April 9
April 12
P
95,550
16,300 EFT
208,700
20,350
27,950
109,350
68,400
April 17
April 22
April 23
ВС
92,700
543,750
Checks and other debits:
April 7
April 13
April 14
April 15
April 18
April 21
April 26
April 30
April 30
Ending balance
44,550
69,500
45,150 US
7,350
33,200
10,950 EFT
73,600
50,000
1,000
SC
(335,300)
304,000
P.
Explanation:
EFT
electronic funds transfer
US
unauthorized signature
--
BC
bank collection
SC
service charge
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