REQUIRED Based on the cash book and bank statement of Joe Wilson ltd 1. Prepare an adjusted cashbook            2. Bank reconciliation statement

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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                                            JOE WILSON LTD

                CASHBOOK - MANNA COMMERCIAL BANK

Date

Particulars

GH¢

Date

Particulars

GH¢

2014

 

 

2014

 

 

 3-Jan

Chq 1050

16,000

1-Jan

Bal brought fwd

110,000

6-Jan

Chq 6060

30,000

13-Jan

Chq 4440

15,000

15-Jan

Chq 4443

23,000

13-Jan

Chq 4441

13,000

15-Jan

Chq 4440

15,000

15-Jan

Chq 4442

16,000

16-Jan

Chq 3232

8,000

18-Jan

Chq 4444

120,000

17-Jan

Chq 9112

34,000

19-Jan

Chq 4445

17,000

31-Jan

Chq 9112

34,000

20-Jan

Chq 4440

25,000

31-Jan

Chq 9080

72,000

21-Jan

Chq 4446

32,000

31-Jan

Bal c/d

116,000

 

 

 

                                                              348,000                                                                      348,000

                                                                                                                                    Bal b/f  116,000

                                               JOE WILSON LTD

     BANK STATEMENT FOR THE MONTH OF JANUARY 2014

 

 

DEBIT

CREDIT

BALANCE

2014

 

GH¢

GH¢

GH¢

1-Jan

Bal b/f

 

 

(110,000)

3-Jan

Chq 1050

 

16,000

(94,000)

17-Jan

Bank Charges

600

 

(94,000)

18-Jan

Chq 1010 Supplier TM

 

8,000

(86,600)

18-Jan

Chq 5010 Supplier VAR

 

12,000

(74,600)

18-Jan

Standing Order ECG

800

 

(75,400)

18-Jan

Chq 4441

13,000

 

(88,400)

18-Jan

Chq 9112

 

34,000

(54,400)

31-Jan

Chq 4444

 

120,000

65,600

26-Jan

Chq 4445

17,000

 

48,600

31-Jan

Chq 3333 Dishonored chq

4,500

 

44,100

 

It has been determined that the bank credited cheque no 4444 in error

 

 

 

REQUIRED

Based on the cash book and bank statement of Joe Wilson ltd

1. Prepare an adjusted cashbook           

2. Bank reconciliation statement   

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