Saturn Company deposits all receipts daily and makes all payments by cheque. The following information is available from the cash records of Saturn in the month of April, its first month of operations:   Month of April Results                                                                                                    Per Bank  Per Books        Balance April 30...........................................................       $42,000      $42,140        April deposits recorded.................................................         11,200        17,300        April cheques recorded.................................................         12,010        14,320 Items on bank statement but not in books:        Note collected by bank..................................................           5,500              -0-        Bank service charge......................................................                50              -0-        Customer’s NSF cheque returned by the bank.............           1,800              -0-   Instructions a) Calculate the amount of the April 30: Deposits in transit Outstanding cheques.    Deposits in transit:______________________________________________     Outstanding cheques:_______________________________________________      b)         What is the April 30 adjusted cash balance for Saturn? Show all work.    c)   Prepare any necessary journal entries by Saturn.

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
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Chapter7: Accounting Information Systems
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Problem 5EA: Catherines Cookies has a beginning balance in the Accounts Payable control total account of $8,200....
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Saturn Company deposits all receipts daily and makes all payments by cheque. The following information is available from the cash records of Saturn in the month of April, its first month of operations:

 

Month of April Results

                                                                                                   Per Bank  Per Books

       Balance April 30...........................................................       $42,000      $42,140

       April deposits recorded.................................................         11,200        17,300

       April cheques recorded.................................................         12,010        14,320

Items on bank statement but not in books:

       Note collected by bank..................................................           5,500              -0-

       Bank service charge......................................................                50              -0-

       Customer’s NSF cheque returned by the bank.............           1,800              -0-

 

Instructions

  1. a) Calculate the amount of the April 30:
  2. Deposits in transit
  3. Outstanding cheques. 

 

Deposits in transit:______________________________________________

 

 

Outstanding cheques:_______________________________________________ 

 

 

b)         What is the April 30 adjusted cash balance for Saturn? Show all work. 

 

c)   Prepare any necessary journal entries by Saturn. 

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