Halimi is the newly appointed accounts assistant for Sentosa Sdn Bhd. Upon comparing the bank statement and the cashbook of the business for the month of June 2020, he found that there were differences between the balance as per cash book and the balance as per bank statement as shown below: Bank Islam Berhad Bank Statement as at 30 June 2020 Date Description Debit (RM) Balance (RM) Credit (RM) 1 June Balance 2,154.50 CR 2 June 299513 241.00 1,913.50 CR Credit Transfer Bank Services Charges 463029 3 June 543.20 2,456.70 CR 2,356.70 CR 6 June 100.00 73.40 9 June 2,283.30 CR 12 June 463028 356.30 1,927.00 CR 17 June Standing Order 76.40 1,850.60 CR 20 June Credit Transfer 463030 463032 Credit Transfer 400.00 2,250.60 CR 23 June 249.00 2,001.60 CR 23 June 150.00 1,851.60 CR 25 June 68.70 1,920.30 CR 2.500.50 CR 2,257.90 CR 27 June Credit Transfer 580.20 30 June 463033 242.60 Cashbook (Bank Column Only) June Particulars RM June 2020 Particulars Cheque RM 2020 no. 1 Balance b/d 2,154.50 5 Purchases 463028 356.30 543.20 400.00 580.20 2 Sales Sales Sales Sales 10 Utilities Purchases Stationeries 463029 463030 463031 463032 73.40 200.00 160.00 150.00 242.60 1,940.30 153.00 18 24 26 16 18 75.60 20 Purchases 84.30 25 27 30 Sales Sales Purchases Rental Purchases 463033 463034 463035 583.20 28 29 30 Balance c/d 4,421.00 1,145.40 4,421.00 Additional information: i. Payment to creditor (cheque no, 463030) amounting to RM249.00 was wrongly recorded in the cash book as RM200.00.
Halimi is the newly appointed accounts assistant for Sentosa Sdn Bhd. Upon comparing the bank statement and the cashbook of the business for the month of June 2020, he found that there were differences between the balance as per cash book and the balance as per bank statement as shown below: Bank Islam Berhad Bank Statement as at 30 June 2020 Date Description Debit (RM) Balance (RM) Credit (RM) 1 June Balance 2,154.50 CR 2 June 299513 241.00 1,913.50 CR Credit Transfer Bank Services Charges 463029 3 June 543.20 2,456.70 CR 2,356.70 CR 6 June 100.00 73.40 9 June 2,283.30 CR 12 June 463028 356.30 1,927.00 CR 17 June Standing Order 76.40 1,850.60 CR 20 June Credit Transfer 463030 463032 Credit Transfer 400.00 2,250.60 CR 23 June 249.00 2,001.60 CR 23 June 150.00 1,851.60 CR 25 June 68.70 1,920.30 CR 2.500.50 CR 2,257.90 CR 27 June Credit Transfer 580.20 30 June 463033 242.60 Cashbook (Bank Column Only) June Particulars RM June 2020 Particulars Cheque RM 2020 no. 1 Balance b/d 2,154.50 5 Purchases 463028 356.30 543.20 400.00 580.20 2 Sales Sales Sales Sales 10 Utilities Purchases Stationeries 463029 463030 463031 463032 73.40 200.00 160.00 150.00 242.60 1,940.30 153.00 18 24 26 16 18 75.60 20 Purchases 84.30 25 27 30 Sales Sales Purchases Rental Purchases 463033 463034 463035 583.20 28 29 30 Balance c/d 4,421.00 1,145.40 4,421.00 Additional information: i. Payment to creditor (cheque no, 463030) amounting to RM249.00 was wrongly recorded in the cash book as RM200.00.
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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Q2
Additional info ii) Cheque no. 299513 in the bank statement was wrongly debited by the bank. The cheque actually belongs to Sweet Sdn Bhd.
Required:
a) Prepare an Adjusted Cash Book .
b) Prepare a Bank Reconciliation Statement for Sentosa Sdn Bhd as at 30 June 2020.
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