ash Date Debit Credit Balance 10/1/2020 Beginning Balance 8,259.86 10/1/2020 Ck 10102 Accounts Payable 1,374.12 6,885.74 10/2/2020 Ck 10103 Rent 3,420.00 3,465.74 10/2/2020 Ck 10104 Utilities 689.00 2,776.74 10/4/2020 Deposit 3,743.10 6,519.84 10/4/2020 Ck 10105 Advertising 344.21 6,175.63 10/4/2020 Ck 10106 Subscription 102.84 6,072.79 10/9/2020 Ck 10107 Internet 74.97 5,997.82 10/9/2020 Deposit 4,859.47 10,857.29 10/9/2020 Ck 10108 Telephone 221.00 10,636.29 10/9/2020 Deposit 11,339.64 21,975.93 10/12/2020 Ck 10109 Accounts Payable 1,680.00 20,295.93 10/13/2020 Ck 10110 Wages 3,852.00 16,443.93 10/13/2020 Ck 10111 Accounts Payable 114.00 16,329.93 10/14/2020 Ck 10112 Meals 27.42 16,302.51 10/15/2020 Deposit 8,533.17 24,835.68 10/15/2020 Ck 10113 Meals 22.90 24,812.78 10/20/2020 Ck 10114 Accounts Payable 188.21 24,624.57 10/20/2020 Ck 10115 Machinery 10,433.59 14,190.98 10/20/2020 Ck 10116 Gasoline 77.29 14,113.69 10/21/2020 Ck 10117 Accounts Payable 80.57 14,033.12 10/22/2020 Ck 10118 Dues 125.00 13,908.12 10/23/2020 Ck 10119 Wages 2,400.00 11,508.12 10/25/2020 Deposit 2,585.39 14,093.51 10/25/2020 Ck 10120 Supplies 445.84 13,647.67 10/25/2020 Ck 10121 Insurance 341.00 13,306.67 10/25/2020 Ck 10122 Accounts Payable 163.52 13,143.15 10/25/2020 Deposit--collection of note 4,000.00 17,143.15 10/26/2020 Ck 10123 Accounts Payable 1,591.00 15,552.15 10/29/2020 Deposit 3,127.00 18,679.15 10/29/2020 Ck 10124 Supplies 1,427.65 17,251.50 10/29/2020 Ck 10125 Accounts Payable 3,721.00 13,530.50 10/30/2020 Ck 10126 Accounts Payable 1,912.68 11,617.82 10/30/2020 Deposit 2,944.56 14,562.38 10/31/2020 Ck 10127 Interest 158.37 14,404.01 10/31/2020 Deposit 2,381.94 16,785.95 Note--all sales are on credit. All deposits on the books are from collections from customers unless specified otherwise. A collection from a customer (T. Kelsey) recorded on the books on October 25, 2020 was recorded at $2,585.39. The actual amount collected from the customer was $2,855.39. Check number 10120 written and mailed on October 25, 2020 was actually written for $645.84. The company accountant miskeyed the amount into the books at $445.84. And now the Bank statement: Activity for October 2020 Beginning Payments & Ending Balance Deposits Withdrawals Balance $7,165.17 $47,313.29 $43,859.61 $10,618.85 TOTALS Analysis of Deposits: 10/1/2020 $ 4,136.28 10/6/2020 3,743.10 10/10/2020 4,859.47 10/12/2020 11,339.64 10/15/2020 8,533.17 10/21/2020 1,750.00 Vendor Refund-Inventory Purchase 10/26/2020 2,855.39 10/30/2020 3,127.00 10/31/2020 2,944.56 Analysis of Payments and Checks 10/1/2020 9721 $ 487.00 10/3/2020 10101 931.26 10/5/2020 10106 102.84 10/7/2020 10104 689.00 10/7/2020 10100 941.38 10/12/2020 10105 344.21 10/14/2020 10108 221.00 10/14/2020 10103 3,420.00 10/18/2020 10111 114.00 10/19/2020 10109 1,680.00 10/22/2020 10113 22.90 10/22/2020 10110 3,852.00 10/25/2020 10114 188.21 10/25/2020 10116 77.29 10/27/2020 10121 341.00 10/28/2020 10117 80.57 10/28/2020 10123 1,591.00 10/29/2020 10115 10,433.59 10/29/2020 10118 125.00 10/30/2020 10120 645.84 10/31/2020 10119 2,400.00 10/31/2020 10122 163.52 Other deposits 10/27/2020 4,000.00 Collection of note 10/31/2020 24.68 INT
ash Date Debit Credit Balance 10/1/2020 Beginning Balance 8,259.86 10/1/2020 Ck 10102 Accounts Payable 1,374.12 6,885.74 10/2/2020 Ck 10103 Rent 3,420.00 3,465.74 10/2/2020 Ck 10104 Utilities 689.00 2,776.74 10/4/2020 Deposit 3,743.10 6,519.84 10/4/2020 Ck 10105 Advertising 344.21 6,175.63 10/4/2020 Ck 10106 Subscription 102.84 6,072.79 10/9/2020 Ck 10107 Internet 74.97 5,997.82 10/9/2020 Deposit 4,859.47 10,857.29 10/9/2020 Ck 10108 Telephone 221.00 10,636.29 10/9/2020 Deposit 11,339.64 21,975.93 10/12/2020 Ck 10109 Accounts Payable 1,680.00 20,295.93 10/13/2020 Ck 10110 Wages 3,852.00 16,443.93 10/13/2020 Ck 10111 Accounts Payable 114.00 16,329.93 10/14/2020 Ck 10112 Meals 27.42 16,302.51 10/15/2020 Deposit 8,533.17 24,835.68 10/15/2020 Ck 10113 Meals 22.90 24,812.78 10/20/2020 Ck 10114 Accounts Payable 188.21 24,624.57 10/20/2020 Ck 10115 Machinery 10,433.59 14,190.98 10/20/2020 Ck 10116 Gasoline 77.29 14,113.69 10/21/2020 Ck 10117 Accounts Payable 80.57 14,033.12 10/22/2020 Ck 10118 Dues 125.00 13,908.12 10/23/2020 Ck 10119 Wages 2,400.00 11,508.12 10/25/2020 Deposit 2,585.39 14,093.51 10/25/2020 Ck 10120 Supplies 445.84 13,647.67 10/25/2020 Ck 10121 Insurance 341.00 13,306.67 10/25/2020 Ck 10122 Accounts Payable 163.52 13,143.15 10/25/2020 Deposit--collection of note 4,000.00 17,143.15 10/26/2020 Ck 10123 Accounts Payable 1,591.00 15,552.15 10/29/2020 Deposit 3,127.00 18,679.15 10/29/2020 Ck 10124 Supplies 1,427.65 17,251.50 10/29/2020 Ck 10125 Accounts Payable 3,721.00 13,530.50 10/30/2020 Ck 10126 Accounts Payable 1,912.68 11,617.82 10/30/2020 Deposit 2,944.56 14,562.38 10/31/2020 Ck 10127 Interest 158.37 14,404.01 10/31/2020 Deposit 2,381.94 16,785.95 Note--all sales are on credit. All deposits on the books are from collections from customers unless specified otherwise. A collection from a customer (T. Kelsey) recorded on the books on October 25, 2020 was recorded at $2,585.39. The actual amount collected from the customer was $2,855.39. Check number 10120 written and mailed on October 25, 2020 was actually written for $645.84. The company accountant miskeyed the amount into the books at $445.84. And now the Bank statement: Activity for October 2020 Beginning Payments & Ending Balance Deposits Withdrawals Balance $7,165.17 $47,313.29 $43,859.61 $10,618.85 TOTALS Analysis of Deposits: 10/1/2020 $ 4,136.28 10/6/2020 3,743.10 10/10/2020 4,859.47 10/12/2020 11,339.64 10/15/2020 8,533.17 10/21/2020 1,750.00 Vendor Refund-Inventory Purchase 10/26/2020 2,855.39 10/30/2020 3,127.00 10/31/2020 2,944.56 Analysis of Payments and Checks 10/1/2020 9721 $ 487.00 10/3/2020 10101 931.26 10/5/2020 10106 102.84 10/7/2020 10104 689.00 10/7/2020 10100 941.38 10/12/2020 10105 344.21 10/14/2020 10108 221.00 10/14/2020 10103 3,420.00 10/18/2020 10111 114.00 10/19/2020 10109 1,680.00 10/22/2020 10113 22.90 10/22/2020 10110 3,852.00 10/25/2020 10114 188.21 10/25/2020 10116 77.29 10/27/2020 10121 341.00 10/28/2020 10117 80.57 10/28/2020 10123 1,591.00 10/29/2020 10115 10,433.59 10/29/2020 10118 125.00 10/30/2020 10120 645.84 10/31/2020 10119 2,400.00 10/31/2020 10122 163.52 Other deposits 10/27/2020 4,000.00 Collection of note 10/31/2020 24.68 INT
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
Related questions
Question
Given this book and bank statement information, create an October bank reconciliation for Arrowhead company. And the
BOOK INFO:
Cash | ||||
Date | Debit | Credit | Balance | |
10/1/2020 | Beginning Balance | 8,259.86 | ||
10/1/2020 | Ck 10102 Accounts Payable | 1,374.12 | 6,885.74 | |
10/2/2020 | Ck 10103 Rent | 3,420.00 | 3,465.74 | |
10/2/2020 | Ck 10104 Utilities | 689.00 | 2,776.74 | |
10/4/2020 | Deposit | 3,743.10 | 6,519.84 | |
10/4/2020 | Ck 10105 Advertising | 344.21 | 6,175.63 | |
10/4/2020 | Ck 10106 Subscription | 102.84 | 6,072.79 | |
10/9/2020 | Ck 10107 Internet | 74.97 | 5,997.82 | |
10/9/2020 | Deposit | 4,859.47 | 10,857.29 | |
10/9/2020 | Ck 10108 Telephone | 221.00 | 10,636.29 | |
10/9/2020 | Deposit | 11,339.64 | 21,975.93 | |
10/12/2020 | Ck 10109 Accounts Payable | 1,680.00 | 20,295.93 | |
10/13/2020 | Ck 10110 Wages | 3,852.00 | 16,443.93 | |
10/13/2020 | Ck 10111 Accounts Payable | 114.00 | 16,329.93 | |
10/14/2020 | Ck 10112 Meals | 27.42 | 16,302.51 | |
10/15/2020 | Deposit | 8,533.17 | 24,835.68 | |
10/15/2020 | Ck 10113 Meals | 22.90 | 24,812.78 | |
10/20/2020 | Ck 10114 Accounts Payable | 188.21 | 24,624.57 | |
10/20/2020 | Ck 10115 Machinery | 10,433.59 | 14,190.98 | |
10/20/2020 | Ck 10116 Gasoline | 77.29 | 14,113.69 | |
10/21/2020 | Ck 10117 Accounts Payable | 80.57 | 14,033.12 | |
10/22/2020 | Ck 10118 Dues | 125.00 | 13,908.12 | |
10/23/2020 | Ck 10119 Wages | 2,400.00 | 11,508.12 | |
10/25/2020 | Deposit | 2,585.39 | 14,093.51 | |
10/25/2020 | Ck 10120 Supplies | 445.84 | 13,647.67 | |
10/25/2020 | Ck 10121 Insurance | 341.00 | 13,306.67 | |
10/25/2020 | Ck 10122 Accounts Payable | 163.52 | 13,143.15 | |
10/25/2020 | Deposit--collection of note | 4,000.00 | 17,143.15 | |
10/26/2020 | Ck 10123 Accounts Payable | 1,591.00 | 15,552.15 | |
10/29/2020 | Deposit | 3,127.00 | 18,679.15 | |
10/29/2020 | Ck 10124 Supplies | 1,427.65 | 17,251.50 | |
10/29/2020 | Ck 10125 Accounts Payable | 3,721.00 | 13,530.50 | |
10/30/2020 | Ck 10126 Accounts Payable | 1,912.68 | 11,617.82 | |
10/30/2020 | Deposit | 2,944.56 | 14,562.38 | |
10/31/2020 | Ck 10127 Interest | 158.37 | 14,404.01 | |
10/31/2020 | Deposit | 2,381.94 | 16,785.95 |
Note--all sales are on credit. All deposits on the books are from collections from customers unless specified otherwise. | ||||
A collection from a customer (T. Kelsey) recorded on the books on October 25, 2020 was recorded at $2,585.39. The actual amount collected from the customer was $2,855.39. | ||||
Check number 10120 written and mailed on October 25, 2020 was actually written for $645.84. The company accountant miskeyed the amount into the books at $445.84. |
And now the Bank statement:
Activity for October 2020 | ||||
Beginning | Payments & | Ending | ||
Balance | Deposits | Withdrawals | Balance | |
$7,165.17 | $47,313.29 | $43,859.61 | $10,618.85 | TOTALS |
Analysis of Deposits: | ||||
10/1/2020 | $ 4,136.28 | |||
10/6/2020 | 3,743.10 | |||
10/10/2020 | 4,859.47 | |||
10/12/2020 | 11,339.64 | |||
10/15/2020 | 8,533.17 | |||
10/21/2020 | 1,750.00 | Vendor Refund-Inventory Purchase | ||
10/26/2020 | 2,855.39 | |||
10/30/2020 | 3,127.00 | |||
10/31/2020 | 2,944.56 | |||
Analysis of Payments and Checks | ||||
10/1/2020 | 9721 | $ 487.00 | ||
10/3/2020 | 10101 | 931.26 | ||
10/5/2020 | 10106 | 102.84 | ||
10/7/2020 | 10104 | 689.00 | ||
10/7/2020 | 10100 | 941.38 | ||
10/12/2020 | 10105 | 344.21 | ||
10/14/2020 | 10108 | 221.00 | ||
10/14/2020 | 10103 | 3,420.00 | ||
10/18/2020 | 10111 | 114.00 | ||
10/19/2020 | 10109 | 1,680.00 | ||
10/22/2020 | 10113 | 22.90 | ||
10/22/2020 | 10110 | 3,852.00 | ||
10/25/2020 | 10114 | 188.21 | ||
10/25/2020 | 10116 | 77.29 | ||
10/27/2020 | 10121 | 341.00 | ||
10/28/2020 | 10117 | 80.57 | ||
10/28/2020 | 10123 | 1,591.00 | ||
10/29/2020 | 10115 | 10,433.59 | ||
10/29/2020 | 10118 | 125.00 | ||
10/30/2020 | 10120 | 645.84 | ||
10/31/2020 | 10119 | 2,400.00 | ||
10/31/2020 | 10122 | 163.52 | ||
Other deposits | ||||
10/27/2020 | 4,000.00 | Collection of note | ||
10/31/2020 | 24.68 | INT | ||
Other withdrawals: | ||||
10/30/2020 | 15,000.00 | Loan Payment--principal | ||
10/31/2020 | 8.00 | SC |
They also give me the sept back reconciliation to aid in making the october one. (attachements)

Transcribed Image Text:Arrowhead Company
Bank Reconciliation
30-Sep-20
Balance per bank statement
Add:
7,165.17
Deposit in transit
4,136.28
Less:
Outstanding Checks
Check Number:
9721
487.00
9948
681.95
10100
941.38
10101
931.26
3,041.59
Adjusted balance
8,259.86

Transcribed Image Text:Balance per books
3,477.13
Add:
Collection of note, less $75 collection fee
4,925.00
Interest income
14.18
4,939.18
Less:
Charge for printing checks
147.00
Service charge
9.45
156.45
Adjusted balance
8,259.86
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