The following information relates to the bank account of Doug's Sky Diving Supply Store on June 30. Balance per bank statement   $5,327 Balance per books as of June 30   9,265 Outstanding checks:        #1007 $  241      #1008 67      #1009 597   Deposits in transit 229     4,111   Bank service charges 98   NSF check 412   Credit memo for interest earned 16   Error: Check written and recorded by bank as $454 was subtracted from the checkbook as $445. The check was used to pay the telephone bill. Required: Prepare a bank reconciliation as of June 30.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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The following information relates to the bank account of Doug's Sky Diving Supply Store on June 30.

Balance per bank statement   $5,327
Balance per books as of June 30   9,265
Outstanding checks:    
   #1007 $  241  
   #1008 67  
   #1009 597  
Deposits in transit 229  
  4,111  
Bank service charges 98  
NSF check 412  
Credit memo for interest earned 16  

Error: Check written and recorded by bank as $454 was subtracted from the checkbook as $445. The check was used to pay the telephone bill.

Required:

Prepare a bank reconciliation as of June 30.

Doug's Sky Diving Supply Store
Bank Reconciliation
June 30, 20--
Bank statement balance   $fill in the blank 1
Deduct deposits in transit:  $fill in the blank 3  
  fill in the blank 4 fill in the blank 5
    $fill in the blank 6
     
  $fill in the blank 9  
  fill in the blank 11  
  fill in the blank 13 fill in the blank 14
Adjusted bank balance   $fill in the blank 15
     
Book balance   $fill in the blank 16
    fill in the blank 18
    $fill in the blank 19
     
  $fill in the blank 22  
  fill in the blank 24  
  fill in the blank 26 fill in the blank 27
Adjusted book balance   $fill in the blank 28
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