Identify whether the following independent transaction is a book or a bank reconciling. In addition, determine the amount of the error and state whether the amount will be added or deducted in the preparation of the bank reconciliation (use adjusted method): 1. Eagle Repairs received P1,500 from Jane. The bookkeeper recorded the amount as P500. 2. Nation Bank collected from the customer of Eagle the sum of P5,000 representing payment of the said customer to Eagle. No entry was made in the books of Eagle. 3. The bank teller deducted CK 123 for P3,500 from the account of Eagle. The said check was issued by Egles Company a different depositor of the bank. 4. The bookkeeper of Eagle recorded Check No. 345 in the Cash Disbursement Journal as P5,205. The correct amount of the check was P5,250. Answer: Book. P45 will be deducted in the book records. The bookkeeper should have deducted P5,250 deductions to cash however he deducted P5,205 only, thus the difference should be deducted. 5. The deposits of Eagle earned interest of P100 for the month. Eagle does not have knowledge of interest earned until it receives the bank statement.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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Identify whether the following independent transaction is a book or a bank reconciling. In
addition, determine the amount of the error and state whether the amount will be added or
deducted in the preparation of the bank reconciliation (use adjusted method):
1. Eagle Repairs received P1,500 from Jane. The bookkeeper recorded the amount as
P500.
2. Nation Bank collected from the customer of Eagle the sum of P5,000 representing
payment of the said customer to Eagle. No entry was made in the books of Eagle.
3. The bank teller deducted CK 123 for P3,500 from the account of Eagle. The said check
was issued by Egles| Company a different depositor of the bank.
4. The bookkeeper of Eagle recorded Check No. 345 in the Cash Disbursement Journal
as P5,205. The correct amount of the check was P5,250. Answer: Book. P45 will be
deducted in the book records. The bookkeeper should have deducted P5,250
deductions to cash however he deducted P5,205 only, thus the difference should be
deducted.
5. The deposits of Eagle earned interest of P100 for the month. Eagle does not have
knowledge of interest earned until it receives the bank statement.
Transcribed Image Text:Identify whether the following independent transaction is a book or a bank reconciling. In addition, determine the amount of the error and state whether the amount will be added or deducted in the preparation of the bank reconciliation (use adjusted method): 1. Eagle Repairs received P1,500 from Jane. The bookkeeper recorded the amount as P500. 2. Nation Bank collected from the customer of Eagle the sum of P5,000 representing payment of the said customer to Eagle. No entry was made in the books of Eagle. 3. The bank teller deducted CK 123 for P3,500 from the account of Eagle. The said check was issued by Egles| Company a different depositor of the bank. 4. The bookkeeper of Eagle recorded Check No. 345 in the Cash Disbursement Journal as P5,205. The correct amount of the check was P5,250. Answer: Book. P45 will be deducted in the book records. The bookkeeper should have deducted P5,250 deductions to cash however he deducted P5,205 only, thus the difference should be deducted. 5. The deposits of Eagle earned interest of P100 for the month. Eagle does not have knowledge of interest earned until it receives the bank statement.
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