QUESTION 3 Rose Sdn Bhd is a business that focuses on selling fragrance. In May 2021, the Cash Book (Bank column) of Rose Sdn Bhd Shows the following: Cash book (Bank Column) Date RM Date RM May May 1 Balance b/d 23,567 5 Purchase - 8255 5,689 2 Sales 6,709 7 Rent expenses - 8256 700 10 Sales 15,786 16 Purchase - 8257 7,890 23 Interest received 24 Sales 5,000 21 Purchase - 8258 6,450 12,750 25 Salaries expense 10,000 30 Sales 10,780 29 Interest on loan 3,000 30 Rent received 2,500 30 Purchase – 8259 7,685 31 Balance c/d 35,678

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QUESTION 3 (
Rose Sdn Bhd is a business that focuses on selling fragrance. In May 2021, the Cash Book
(Bank column) of Rose Sdn Bhd Shows the following:
Cash book (Bank Column)
Date
RM
Date
RM
May
May
1
Balance b/d
23,567
5 Purchase - 8255
5,689
2 Sales
6,709
7 Rent expenses - 8256
700
10 Sales
15,786
16 Purchase - 8257
7,890
23
Interest received
5,000
21 Purchase - 8258
6,450
24 Sales
12,750
25 Salaries expense
10,000
30 Sales
10,780
29 Interest on loan
3,000
30 Rent received
2,500
30 Purchase – 8259
7,685
31 Balance c/d
35,678
77,092
77,092
The bank statement received by Rose Sdn Bhd for the month of May 2021 is as below:
Lagenda Bank Berhad
Date of Statement: 31 May 2021
Customer: Rose Sdn Bhd
Description
1 Balance b/d
Debit (RM)
Credit (RM)
Balance (RM)
Date
Cheque
23,567
4 Cheque deposit
7 Cheque cleared
8 Cheque deposit
Cheque deposit
17 Direct debit
19 Credit transfer
6,709
30,276
8255
5,689
24,587
30,587
6,000
14,786
13
45,373
8256
1,600
43,773
4,000
47,773
21 Debit transfer
24 Cheque cleared
25 Cash deposit
26 Cheque deposit
26 Credit transfer
27 Debit transfer
28 Debit transfer
29 Cheque cleared
2,555
8,970
45,218
8257
36,248
5,000
41,248
12,750
53,998
7,500
61,498
10,000
51,498
3,000
48,498
500
47,998
30 Dividend
400
48,398
31 Cheque deposit
31 Cheque book charges
31 Service charge
2,500
45,898
45,893
20
45,873
Transcribed Image Text:QUESTION 3 ( Rose Sdn Bhd is a business that focuses on selling fragrance. In May 2021, the Cash Book (Bank column) of Rose Sdn Bhd Shows the following: Cash book (Bank Column) Date RM Date RM May May 1 Balance b/d 23,567 5 Purchase - 8255 5,689 2 Sales 6,709 7 Rent expenses - 8256 700 10 Sales 15,786 16 Purchase - 8257 7,890 23 Interest received 5,000 21 Purchase - 8258 6,450 24 Sales 12,750 25 Salaries expense 10,000 30 Sales 10,780 29 Interest on loan 3,000 30 Rent received 2,500 30 Purchase – 8259 7,685 31 Balance c/d 35,678 77,092 77,092 The bank statement received by Rose Sdn Bhd for the month of May 2021 is as below: Lagenda Bank Berhad Date of Statement: 31 May 2021 Customer: Rose Sdn Bhd Description 1 Balance b/d Debit (RM) Credit (RM) Balance (RM) Date Cheque 23,567 4 Cheque deposit 7 Cheque cleared 8 Cheque deposit Cheque deposit 17 Direct debit 19 Credit transfer 6,709 30,276 8255 5,689 24,587 30,587 6,000 14,786 13 45,373 8256 1,600 43,773 4,000 47,773 21 Debit transfer 24 Cheque cleared 25 Cash deposit 26 Cheque deposit 26 Credit transfer 27 Debit transfer 28 Debit transfer 29 Cheque cleared 2,555 8,970 45,218 8257 36,248 5,000 41,248 12,750 53,998 7,500 61,498 10,000 51,498 3,000 48,498 500 47,998 30 Dividend 400 48,398 31 Cheque deposit 31 Cheque book charges 31 Service charge 2,500 45,898 45,893 20 45,873
Additional information:
a) The bookkeeper had wrongly recorded the cheque number 8257 and rent expense for
the month.
b) On 10 May 2021, the business had recorded the sales RM15,786 instead of
RM14,786.
c) The bank had wrongly debited the cheque deposited on 31 May 2021 amounting to
RM2,500.
d) The bank had wrongly debited Rose Sdn Bhd account instead of Mawar Sdn Bhd
account for RM500 on 29 May 2021.
Required:
a. Prepare adjusted Cash Book for the month of 31 May 2021
b. Prepare bank reconciliation statement as at 31 May 2021
Transcribed Image Text:Additional information: a) The bookkeeper had wrongly recorded the cheque number 8257 and rent expense for the month. b) On 10 May 2021, the business had recorded the sales RM15,786 instead of RM14,786. c) The bank had wrongly debited the cheque deposited on 31 May 2021 amounting to RM2,500. d) The bank had wrongly debited Rose Sdn Bhd account instead of Mawar Sdn Bhd account for RM500 on 29 May 2021. Required: a. Prepare adjusted Cash Book for the month of 31 May 2021 b. Prepare bank reconciliation statement as at 31 May 2021
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