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

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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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.

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: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
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
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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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.)
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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Bank reconciliation statement
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