As on October 31, the city cleaners have available the following data concerning its bank checking account: 1. On October 31, cash as per the bank statement was $37,758; but as per company’s record /cash book, the amount was $ 42,500. 2. The cash receipt of $ 6,244 on October 31, were deposited on Nov.01. 3. Included in the bank statement was a credit for $ 167 interest earned on the checking account during October. 4. Two checks were outstanding at October 31: No.921 for $ 964 and No. 925 for $ 1,085 5. Enclosed with the bank statement were two debit memoranda for the following item:i). service charges for October, $ 14; and ii). $700 check received from a customer Zahid , subsequently sent to Bank but it was marked as NSF. Required: Prepare bank reconciliation at October 31 and adjusting entries based on the bank reconciliation adjustments.

College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter6: Bank Accounts, Cash Funds, And Internal Controls
Section: Chapter Questions
Problem 1PB
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As on October 31, the city cleaners have available the following data concerning its bank checking account:
1. On October 31, cash as per the bank statement was $37,758; but as per company’s record /cash book, the amount was $ 42,500.
2. The cash receipt of $ 6,244 on October 31, were deposited on Nov.01.
3. Included in the bank statement was a credit for $ 167 interest earned on the checking account during October.
4. Two checks were outstanding at October 31: No.921 for $ 964 and No. 925 for $ 1,085
5. Enclosed with the bank statement were two debit memoranda for the following item:i). service charges for October, $ 14; and ii). $700 check received from a customer Zahid , subsequently sent to Bank but it was marked as NSF.
Required: Prepare bank reconciliation at October 31 and adjusting entries based on the bank reconciliation adjustments.

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