P6-5 (Algo) Preparing a Bank Reconciliation and Related Journal Entries LO6-4 Skip to question [The following information applies to the questions displayed below.] The bookkeeper at Jefferson Company has not reconciled the bank statement with the Cash account, saying, “I don’t have time.” You have been asked to prepare a reconciliation and review the procedures with the bookkeeper. The April 30, Current Year, bank statement and the April ledger account for cash showed the following (summarized): BANK STATEMENT Checks Deposits Balance Balance, April 1, Current Year $32,900 Deposits during April $36,800 69,700 Interest collected 1,220 70,920 Checks cleared during April $45,300 25,620 NSF check-A. B. Wright 180 25,440 Bank service charges 240 25,200 Balance, April 30, Current Year 25,200 Cash (A) Debit Credit April 1 Balance 24,200 April Checks written 43,500 April Deposits 43,400 A comparison of checks written before and during April with the checks cleared through the bank showed outstanding checks at the end of April of $6,900 (including $5,100 written before and $1,800 written during April). No deposits in transit were carried over from March, but a deposit was in transit at the end of April.
P6-5 (Algo) Preparing a Bank Reconciliation and Related Journal Entries LO6-4
Skip to question
[The following information applies to the questions displayed below.]
The bookkeeper at Jefferson Company has not reconciled the bank statement with the Cash account, saying, “I don’t have time.” You have been asked to prepare a reconciliation and review the procedures with the bookkeeper.
The April 30, Current Year, bank statement and the April ledger account for cash showed the following (summarized):
BANK STATEMENT | |||
---|---|---|---|
Checks | Deposits | Balance | |
Balance, April 1, Current Year | $32,900 | ||
Deposits during April | $36,800 | 69,700 | |
Interest collected | 1,220 | 70,920 | |
Checks cleared during April | $45,300 | 25,620 | |
NSF check-A. B. Wright | 180 | 25,440 | |
Bank service charges | 240 | 25,200 | |
Balance, April 30, Current Year | 25,200 |
Cash (A) | ||||
---|---|---|---|---|
Debit | Credit | |||
April 1 Balance | 24,200 | April Checks written | 43,500 | |
April Deposits | 43,400 |
A comparison of checks written before and during April with the checks cleared through the bank showed outstanding checks at the end of April of $6,900 (including $5,100 written before and $1,800 written during April). No deposits in transit were carried over from March, but a deposit was in transit at the end of April.
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