The following information is available for Pyle Garage for March, Year 2: BANK STATEMENT HAZARD STATE BANK 215 MAIN STREET HAZARD, GA 30321 Pyle Garage 629 Main Street HAZARD, GA 30321 Account number 62-00062 March 31, Year 2 Beginning balance 3/1/Year 2 $9,070 Total deposits and other credits 30,096 Total checks and other debits 25,024 Ending balance 3/31/Year 2 14,142   Checks and Debits Deposits and Credits     Check No. Amount Date Amount       1462 $ 3,795   March 1 $ 1,140         1463   1,684   March 2   6,548         1464   8,040   March 6   4,976         1465   2,946   March 12   6,209         1466   1,449   March 17   6,006         1467   6,220   March 22   2,126         DM   60   CM     3,091         1468   830                 The following is a list of checks and deposits recorded on the books of Pyle Garage for March, Year 2: Date   Check No. Amount of Check Date   Amount of Deposit March 1   1463 $ 1,684   March 1   $ 6,548   March 5   1464   8,040   March 5     4,976   March 6   1465   2,946               March 9   1466   1,449   March 10     6,209   March 10   1467   6,220               March 14   1468   135   March 16     6,006   March 19   1469   1,539   March 19     2,126   March 28   1470   783   March 29     3,587     Other Information Check no. 1462 was outstanding from February. A credit memo for collection of accounts receivable was included in the bank statement. All checks were paid at the correct amount. The bank statement included a debit memo for service charges. The February 28 bank reconciliation showed a deposit in transit of $1,140. Check no. 1468 was for the purchase of equipment. The unadjusted Cash account balance at March 31 was $13,071. Required: Prepare the bank reconciliation for Pyle Garage at the end of March. Explain how the adjustments described above affect the cash account.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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The following information is available for Pyle Garage for March, Year 2:

BANK STATEMENT
HAZARD STATE BANK
215 MAIN STREET
HAZARD, GA 30321
Pyle Garage
629 Main Street
HAZARD, GA 30321
Account number
62-00062
March 31, Year 2
Beginning balance 3/1/Year 2 $9,070
Total deposits and other credits 30,096
Total checks and other debits 25,024
Ending balance 3/31/Year 2 14,142
  Checks and Debits Deposits and Credits  
  Check No. Amount Date Amount  
    1462 $ 3,795   March 1 $ 1,140    
    1463   1,684   March 2   6,548    
    1464   8,040   March 6   4,976    
    1465   2,946   March 12   6,209    
    1466   1,449   March 17   6,006    
    1467   6,220   March 22   2,126    
    DM   60   CM     3,091    
    1468   830              
 

The following is a list of checks and deposits recorded on the books of Pyle Garage for March, Year 2:

Date   Check No. Amount of Check Date   Amount of Deposit
March 1   1463 $ 1,684   March 1   $ 6,548  
March 5   1464   8,040   March 5     4,976  
March 6   1465   2,946              
March 9   1466   1,449   March 10     6,209  
March 10   1467   6,220              
March 14   1468   135   March 16     6,006  
March 19   1469   1,539   March 19     2,126  
March 28   1470   783   March 29     3,587  
 

Other Information

  1. Check no. 1462 was outstanding from February.

  2. A credit memo for collection of accounts receivable was included in the bank statement.

  3. All checks were paid at the correct amount.

  4. The bank statement included a debit memo for service charges.

  5. The February 28 bank reconciliation showed a deposit in transit of $1,140.

  6. Check no. 1468 was for the purchase of equipment.

  7. The unadjusted Cash account balance at March 31 was $13,071.

Required:

  1. Prepare the bank reconciliation for Pyle Garage at the end of March.

  2. Explain how the adjustments described above affect the cash account.

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