Daryl Swan operates four video rental stores. She has just received the monthly bank statement at October 31, 2019 from Bank of Montreal, and the statement shows an ending balance of $4,180. Listed on the statement are an EFT rent collection by the bank for Swan of $150, a service charge of $15, four NSF cheques totalling $100, and a $20 charge for printed cheques. In reviewing her cash records, Swan identifies outstanding cheques totalling $306 and an October 31 deposit in transit of $1,002. During October she recorded a $315 cheque for the salary of a part-time employee as $31. Swan's Cash account shows an October 31 cash balance of $5,145.

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
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Chapter8: Fraud, Internal Controls, And Cash
Section: Chapter Questions
Problem 3PA: Domingo Company started its business on January 1, 2019. The following transactions occurred during...
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1)Prepare a bank reconciliation for Daryl Swan to determine how much cash Swan actually has at October 31, 2019?

2)By using the data from above, make the following journal entries that Swan should record on October 31 to update her Cash account.

2a)T o account for the EFT collection of rent

2b)To account for NSF cheques returned by the bank.

2c)To correct the error in recording the salary of the part-time employee.

 

Daryl Swan operates four video rental stores. She has just received the monthly bank statement at October
31, 2019 from Bank of Montreal, and the statement shows an ending balance of $4,180. Listed on the
statement are an EFT rent collection by the bank for Swan of $150, a service charge of $15, four NSF
cheques totalling $100, and a $20 charge for printed cheques. In reviewing her cash records, Swan
identifies outstanding cheques totalling $306 and an October 31 deposit in transit of $1,002. During
October she recorded a $315 cheque for the salary of a part-time employee as $31. Swan's Cash account
shows an October 31 cash balance of $5,145.
Transcribed Image Text:Daryl Swan operates four video rental stores. She has just received the monthly bank statement at October 31, 2019 from Bank of Montreal, and the statement shows an ending balance of $4,180. Listed on the statement are an EFT rent collection by the bank for Swan of $150, a service charge of $15, four NSF cheques totalling $100, and a $20 charge for printed cheques. In reviewing her cash records, Swan identifies outstanding cheques totalling $306 and an October 31 deposit in transit of $1,002. During October she recorded a $315 cheque for the salary of a part-time employee as $31. Swan's Cash account shows an October 31 cash balance of $5,145.
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