Month of July Results Balance July 31 July deposits July checks July note collected (not included in July deposits) July bank service charge July NSF check from a customer, returned by the bank (recorded by bank as a charge) Per Bank $46,710 24,300 21,600 8,100 81 1,809 Per Books $49,950 31,374 16,740
Month of July Results Balance July 31 July deposits July checks July note collected (not included in July deposits) July bank service charge July NSF check from a customer, returned by the bank (recorded by bank as a charge) Per Bank $46,710 24,300 21,600 8,100 81 1,809 Per Books $49,950 31,374 16,740
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
Related questions
Question
Prepare a bank reconcilation going from balance per bank and balance per book to correct cash balance. Outstanding checks from the June reconcilation cleared the bank in July.

Transcribed Image Text:Month of July Results
Balance July 31
July deposits
July checks
July note collected (not included in July deposits)
July bank service charge
July NSF check from a customer, returned by the bank (recorded by bank as a charge)
Per Bank
$46,710
24,300
21,600
8,100
81
1,809
Per Books
$49,950
31,374
16,740

Transcribed Image Text:Laura Lansbury Company deposits all receipts and makes all payments by check. The following information is available from the cash
records.
June 30 Bank Reconciliation
Balance per bank
Add: Deposits in transit
Deduct: Outstanding checks
Balance per books
$37,800
8,316
(10,800)
$35,316
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
Transcribed Image Text:Prepare the general journal entry to correct the Cash account. (If no entry is required, select "No Entry" for the account titles and enter
O for the amounts. Credit account titles are automatically indented when the amount is entered. Do not indent manually. List all debit
entries before credit entries.)
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