current year, Bright and White Laundry received a bank statement dated August 28. Information nas been obtained from the bank statement and from the records of the business. Prepare a bank statement reconciliation. Use Aug. 29 of the current year as the date. v QUESTION ASSETS Bank Statement Information COA RECONCILIATION OF BANK STATEMENT 20- Bank statement balance $2,712.00 Balance on Check Stub No. Balance on Bank Statement Bank service charge 20.00 DEDUCT BANK CHARGES: ADD OUT STANDING DEPOSITS: Outstanding deposit, Aug. 28 300.00 Description Amount Date Amount Outstanding checks: - S No. 306 140.00 No. 308 70.00 Total bank charges Total outstanding deposits Checkbook balance on Check 2,822.00 SUBTOTAL Stub No. 309 DEDUCT OUT STANDING CHECKS: Check No. Amount

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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* CENGAGE MINDTAP
Q Search this course
Tye
Working Papers 5-2
On August 29 of the current year, Bright and White Laundry received a bank statement dated August 28. Information has been obtained from the
bank statement and from the records of the business. Prepare a bank statement reconciliation. Use Aug. 29 of the current year as the date.
v QUESTION ASSETS
Bank Statement Information
COA
RECONCILIATION OF BANK STATEMENT
20--
Bank statement balance
$2,712.00
Balance on Check Stub
No.
Balance on Bank Statement
Bank service charge
20.00
DEDUCT BANK CHARGES:
ADD OUT STANDING DEPOSITS:
Outstanding deposit, Aug. 28
300.00
Description
Amount
Date
Amount
Outstanding checks:
- $
No. 306
140.00
Total bank charges
Total outstanding deposits
No. 308
70.00
Checkbook balance on Check
2,822.00
SUBTOTAL
Stub No. 309
DEDUCT OUT STANDING CHECKS:
Check No.
Amount
Total outstanding checks
$
Adjusted Check Stub Balance
Adjusted Bank Balance
Transcribed Image Text:* CENGAGE MINDTAP Q Search this course Tye Working Papers 5-2 On August 29 of the current year, Bright and White Laundry received a bank statement dated August 28. Information has been obtained from the bank statement and from the records of the business. Prepare a bank statement reconciliation. Use Aug. 29 of the current year as the date. v QUESTION ASSETS Bank Statement Information COA RECONCILIATION OF BANK STATEMENT 20-- Bank statement balance $2,712.00 Balance on Check Stub No. Balance on Bank Statement Bank service charge 20.00 DEDUCT BANK CHARGES: ADD OUT STANDING DEPOSITS: Outstanding deposit, Aug. 28 300.00 Description Amount Date Amount Outstanding checks: - $ No. 306 140.00 Total bank charges Total outstanding deposits No. 308 70.00 Checkbook balance on Check 2,822.00 SUBTOTAL Stub No. 309 DEDUCT OUT STANDING CHECKS: Check No. Amount Total outstanding checks $ Adjusted Check Stub Balance Adjusted Bank Balance
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