Required information [The following information applies to the questions displayed below.] The bookkeeper at Washington 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 May 31, Current Year, bank statement and the May ledger account for cash showed the following (summarized): BANK STATEMENT Balance, May 1, Current Year Deposits during May Interest collected Checks cleared during May NSF check-B. C. Wong Bank service charges Balance, May 31, Current Year Debit May 1 Balance May Deposits Cash (A) Checks $ 47,400 360 110 Required: 1. Complete the following bank reconciliation. Deposits $ 38,800 1,840 Credit 26,700 May Checks written 44,400 Balance $ 33,800 72,600 74,440 27,040 26,680 26,570 26,570 43,700 A comparison of checks written before and during May with the checks cleared through the bank showed outstanding checks at the end of May of $3,400. No deposits in transit were carried over from March, but a deposit was in transit at the end of May.
Required information [The following information applies to the questions displayed below.] The bookkeeper at Washington 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 May 31, Current Year, bank statement and the May ledger account for cash showed the following (summarized): BANK STATEMENT Balance, May 1, Current Year Deposits during May Interest collected Checks cleared during May NSF check-B. C. Wong Bank service charges Balance, May 31, Current Year Debit May 1 Balance May Deposits Cash (A) Checks $ 47,400 360 110 Required: 1. Complete the following bank reconciliation. Deposits $ 38,800 1,840 Credit 26,700 May Checks written 44,400 Balance $ 33,800 72,600 74,440 27,040 26,680 26,570 26,570 43,700 A comparison of checks written before and during May with the checks cleared through the bank showed outstanding checks at the end of May of $3,400. No deposits in transit were carried over from March, but a deposit was in transit at the end of May.
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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![!
Required information
[The following information applies to the questions displayed below.]
The bookkeeper at Washington 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 May 31, Current Year, bank statement and the May ledger account for cash showed the following (summarized):
BANK STATEMENT
Balance, May 1, Current Year
Deposits during May
Interest collected
Checks cleared during May
NSF check-B. C. Wong
Bank service charges
Balance, May 31, Current Year
May 1
Debit
Balance
May Deposits
Cash (A)
Checks
*
Required:
1. Complete the following bank reconciliation.
$
47,400
360
110
Deposits
$
38,800
1,840
Credit
26,700 May Checks written
44,400
Balance
$ 33,800
72,600
74,440
27,040
26,680
26,570
26,570
43,700
A comparison of checks written before and during May with the checks cleared through the bank showed outstanding
checks at the end of May of $3,400. No deposits in transit were carried over from March, but a deposit was in transit at the
end of May.](/v2/_next/image?url=https%3A%2F%2Fcontent.bartleby.com%2Fqna-images%2Fquestion%2Ffb6d8597-773f-4d96-b14a-f3776d3e210d%2Fd9861d89-2a07-4154-8c90-8f17d352d743%2Fls1v42v_processed.jpeg&w=3840&q=75)
Transcribed Image Text:!
Required information
[The following information applies to the questions displayed below.]
The bookkeeper at Washington 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 May 31, Current Year, bank statement and the May ledger account for cash showed the following (summarized):
BANK STATEMENT
Balance, May 1, Current Year
Deposits during May
Interest collected
Checks cleared during May
NSF check-B. C. Wong
Bank service charges
Balance, May 31, Current Year
May 1
Debit
Balance
May Deposits
Cash (A)
Checks
*
Required:
1. Complete the following bank reconciliation.
$
47,400
360
110
Deposits
$
38,800
1,840
Credit
26,700 May Checks written
44,400
Balance
$ 33,800
72,600
74,440
27,040
26,680
26,570
26,570
43,700
A comparison of checks written before and during May with the checks cleared through the bank showed outstanding
checks at the end of May of $3,400. No deposits in transit were carried over from March, but a deposit was in transit at the
end of May.
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