Bank Reconciliation and Related Journal Entries The book balance in the checking account of Johnson Enterprises as of October 31 is $5,690.00. The bank statement shows an ending balance of $5,176.00. The following information is discovered by (1) comparing last month's deposits in transit and outstanding checks with this month's bank statement, (2) comparing deposits and checks written per books and per bank in the current month, and (3) noting service charges and other debit and credit memos shown on the bank statement. Deposits in transit: 10/29 $215.00 10/30 410.00 Outstanding checks: No. 1635 56.40 No. 1639 175.00 No. 1641 131.30 No. 1653 447.30 Unrecorded ATM withdrawal: 200.00 Bank service charge: 36.00 NSF check: 478.00 Error on Check No. 1624 Checkbook shows it was for $76, but it was actually written for $61. Accounts Payable was debited. *Funds were withdrawn by Enoch Johnson for personal use. Required: 1. Prepare a bank reconciliation as of October 31, 20--. Johnson Enterprises Bank Reconciliation October 31, 20-- Bank statement balance, October 31 Adjusted bank balance

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Chapter6: Bank Accounts, Cash Funds, And Internal Controls
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How would I prepare the journal entry

Bank Reconciliation and Related Journal Entries
The book balance in the checking account of Johnson
Enterprises as of October 31 is $5,690.00. The bank
statement shows an ending balance of $5,176.00. The
following information is discovered by (1) comparing last
month's deposits in transit and outstanding checks with this
month's bank statement, (2) comparing deposits and
checks written per books and per bank in the current
month, and (3) noting service charges and other debit and
credit memos shown on the bank statement.
Deposits in transit:
10/29
$215.00
10/30
410.00
Outstanding checks:
No. 1635
56.40
No. 1639
175.00
No. 1641
131.30
No. 1653
447.30
Unrecorded ATM withdrawal:
200.00
Bank service charge:
36.00
NSF check:
478.00
Error on Check No. 1624
Checkbook shows it was for $76, but
it was actually written for $61.
Accounts Payable was debited.
*Funds were withdrawn by Enoch Johnson for personal use.
Required:
1. Prepare a bank reconciliation as of October 31, 20--.
Johnson Enterprises
Bank Reconciliation
October 31, 20--
Bank statement balance, October 31
Adjusted bank balance
Book balance, October 31
Transcribed Image Text:Bank Reconciliation and Related Journal Entries The book balance in the checking account of Johnson Enterprises as of October 31 is $5,690.00. The bank statement shows an ending balance of $5,176.00. The following information is discovered by (1) comparing last month's deposits in transit and outstanding checks with this month's bank statement, (2) comparing deposits and checks written per books and per bank in the current month, and (3) noting service charges and other debit and credit memos shown on the bank statement. Deposits in transit: 10/29 $215.00 10/30 410.00 Outstanding checks: No. 1635 56.40 No. 1639 175.00 No. 1641 131.30 No. 1653 447.30 Unrecorded ATM withdrawal: 200.00 Bank service charge: 36.00 NSF check: 478.00 Error on Check No. 1624 Checkbook shows it was for $76, but it was actually written for $61. Accounts Payable was debited. *Funds were withdrawn by Enoch Johnson for personal use. Required: 1. Prepare a bank reconciliation as of October 31, 20--. Johnson Enterprises Bank Reconciliation October 31, 20-- Bank statement balance, October 31 Adjusted bank balance Book balance, October 31
Required:
1. Prepare a bank reconciliation as of October 31, 20--.
Johnson Enterprises
Bank Reconciliation
October 31, 20--
Bank statement balance, October 31
5,176
Add: deposits in transit -
October 29 - v
October 30 -
215
410
625
Deduct: outstanding checks -
No. 1635 -
No. 1639 - V
No. 1641 -
No. 1653 - v
56.40
175
131.30
447.30
810
Adjusted bank balance
4,991
Book balance, October 31
5,690
Add: error on Check No. 1624 -
Deduct: Unrecorded ATM withdrawal -
Deduct: Bank service charge - X
Deduct: NSF check - x
200
478 V
714
Adjusted book balance
4,991
2. Prepare the required journal entries.
Page:
DOC. POST.
DATE
ACCOUNT TITLE
DEBIT
CREDIT
NO. REF.
20--
X 1
Oct. 31
2
х 2
3
Error on Check No. 1624
3
4
4
5 Oct. 31
6
X 6
Unrecorded ATM withdrawal
8
8
9 Oct. 31
X 9
10
х 10
11
Bank service charge
11
12
12
13 Oct. 31
х 13
14
X 14
15
NSF check
15
Transcribed Image Text:Required: 1. Prepare a bank reconciliation as of October 31, 20--. Johnson Enterprises Bank Reconciliation October 31, 20-- Bank statement balance, October 31 5,176 Add: deposits in transit - October 29 - v October 30 - 215 410 625 Deduct: outstanding checks - No. 1635 - No. 1639 - V No. 1641 - No. 1653 - v 56.40 175 131.30 447.30 810 Adjusted bank balance 4,991 Book balance, October 31 5,690 Add: error on Check No. 1624 - Deduct: Unrecorded ATM withdrawal - Deduct: Bank service charge - X Deduct: NSF check - x 200 478 V 714 Adjusted book balance 4,991 2. Prepare the required journal entries. Page: DOC. POST. DATE ACCOUNT TITLE DEBIT CREDIT NO. REF. 20-- X 1 Oct. 31 2 х 2 3 Error on Check No. 1624 3 4 4 5 Oct. 31 6 X 6 Unrecorded ATM withdrawal 8 8 9 Oct. 31 X 9 10 х 10 11 Bank service charge 11 12 12 13 Oct. 31 х 13 14 X 14 15 NSF check 15
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