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Concept explainers
TheBank reconciliation statement is a statement prepared at periodic interval to know the reasons for the difference in balances in bank account as reflected in the bank statement and books of account. The statement not only finds the reasons for differences in the two statement of accounts but also helps in ensuring the true and correct balances in two accounts by rectification and adjustment required to be made in the two books.
This will help in ensuring that the adjusted and reconciled balances of two statement matches each other.
Requirement1:
The preparation of bank reconciliation statement for the month ending Nov30, 2016.
Requirement2:
The Balance to be shown in the Books of account as on Nov30, 2016.
Requirement3:
The Journal entries to be passed in the books for reconciliation of cash balance.
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Chapter 8 Solutions
Horngren's Accounting, The Financial Chapters (11th Edition) - Standalone Book
- I don't need ai answer general accounting questionarrow_forwardAnswer? ? Financial accounting questionarrow_forwardData for the two departments of Gurley Industries for September of the current fiscal year are as follows: Drawing Department Winding Department Work in process, September 1 4,900 units, 20% completed 3,000 units, 65% completed Completed and transferred to next processing department during September 67,100 units 66,000 units Work in process, September 30 3,700 units, 55% completed 4,100 units, 20% completed Production begins in the Drawing Department and finishes in the Winding Department. Question Content Area a. If all direct materials are placed in process at the beginning of production, determine the direct materials and conversion equivalent units of production for September for the Drawing Department. If an amount is zero, enter in "0". Drawing DepartmentDirect Materials and Conversion Equivalent Units of ProductionFor September Line Item Description Whole Units Direct MaterialsEquivalent Units ConversionEquivalent Units Inventory in process,…arrow_forward
- The charges to Work in Process—Assembly Department for a period, together with information concerning production, are as follows. All direct materials are placed in process at the beginning of production. Work in Process-Assembly Department Transaction Debit amount Transaction Credit amount Bal., 3,000 units, 45% completed 6,900 To Finished Goods, 69,000 units ? Direct materials, 71,000 units @ $1.4 99,400 Direct labor 106,400 Factory overhead 41,440 Bal., ? units, 55% completed ? Cost per equivalent units of $1.40 for Direct Materials and $2.10 for Conversion Costs. a. Based on the above data, determine the different costs listed below. Line Item Description Amount 1. Cost of beginning work in process inventory completed this period fill in the blank 1 of 4$ 2. Cost of units transferred to finished goods during the period fill in the blank 2 of 4$ 3. Cost of ending work in process inventory fill in the blank 3 of 4$ 4. Cost per unit of…arrow_forwardHii expert please given correct answer financial accountingarrow_forwardThe following information concerns production in the Baking Department for August. All direct materials are placed in process at the beginning of production. Date Item Debit Credit BalanceDebit BalanceCredit August 1 Bal., 6,300 units, 4/5 completed 16,884 31 Direct materials, 113,400 units 226,800 243,684 31 Direct labor 64,390 308,074 31 Factory overhead 36,212 344,286 31 Goods finished, 114,900 units 332,958 11,328 31 Bal., ? units, 2/5 completed 11,328 a. Based on the above data, determine each cost listed below. Round "cost per equivalent unit" answers to the nearest cent. Line Item Description Amount 1. Direct materials cost per equivalent unit $fill in the blank 1 2. Conversion cost per equivalent unit $fill in the blank 2 3. Cost of the beginning work in process completed during August $fill in the blank 3 4. Cost of units started and completed during August $fill in the blank 4 5. Cost of the ending work in…arrow_forward
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