The April 30 bank statement for KMaxx Company and the April ledger account for cash are summarized here:   BANK STATEMENT Checks Deposits Other Balance Balance, April 1 $ 5,000 April 5 #101 $ 500 4,500 April 9 $ 1,500 6,000 April 12 #102 100 5,900

Survey of Accounting (Accounting I)
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Chapter11: Cost-volume-profit Analysis
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Problem 11.18E
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The April 30 bank statement for KMaxx Company and the April ledger account for cash are summarized here:

 

BANK STATEMENT

Checks Deposits Other Balance
Balance, April 1 $ 5,000
April 5 #101 $ 500 4,500
April 9 $ 1,500 6,000
April 12 #102 100 5,900
April 19 #103 150 5,750
April 22 #104 500 5,250
April 27 EFT payment $ 110 5,140
April 29 NSF check 70 5,070
April 30 Service charge 16 5,054

Cash (A)
April 1 Balance 5,000
April 8 1,500 500 April 2 #101
April 28 300 100 April 10 #102
150 April 15 #103
600 April 20 #104
120 April 29 #105
April 30 Balance 5,330

No outstanding checks and no deposits in transit were noted in March. However, there are deposits in transit and checks outstanding at the end of April. The EFT involved an automatic monthly payment to one of KMaxx’s creditors. Check #104 was written for $600. The NSF check had been received from a customer.

Required:

1. Prepare a bank reconciliation for April.

TIP: Put a check mark beside each item that appears on both the bank statement and what’s already been recorded in the accounting records (shown in the T-account). Items left unchecked will be used in the bank reconciliation.

Options under additions are bank errors, bank service charges, deposit in transit, eft payment, nsf checks and outstanding checks

9(221) WhatsApp
Question 8- Chapter 05 Post-Ch X +
am
i ezto.mheducation.com/ext/map/index.html?_con=con&external_browser%3D0&launchUrl=https%253A%252F%252Fnewconnect.mheducation.com%
Saved
Chapter 05 Post-Chapter Assignment i
8.
Required information
[The following information applies to the questions displayed below.]
Pert 1 of 4
The April 30 bank statement for KMaxx Company and the April ledger account for cash are summarized here:
BANK STATEMENT
Checks
Deposits
Other
Balance
по
points
Balance, April 1
April 5
April 9
April 12
April 19
April 22
April 27
April 29
April 30
$5,000
4,500
6,000
5,900
5,750
5,250
5,140
5,070
5,054
#101
$500
$1,500
#102
100
#103
150
eВook
#104
500
EFT payment
NSF check
Service charge
$110
Print
70
References
16
Cash (A)
April 1 Balance
April 8
April 28
5,000
1,500
April 2
April 10 #102
April 15 #103
April 20 #104
April 29 #105
500
#101
300
100
150
600
120
April 30 Balance
5,330
No outstanding checks and no deposits in transit were noted in March. However, there are deposits in transit and checks
outstanding at the end of April. The EFT involved an automatic monthly payment to one of KMaxx's creditors. Check #104
was written for $600. The NSF check had been received from a customer.
Required:
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Transcribed Image Text:9(221) WhatsApp Question 8- Chapter 05 Post-Ch X + am i ezto.mheducation.com/ext/map/index.html?_con=con&external_browser%3D0&launchUrl=https%253A%252F%252Fnewconnect.mheducation.com% Saved Chapter 05 Post-Chapter Assignment i 8. Required information [The following information applies to the questions displayed below.] Pert 1 of 4 The April 30 bank statement for KMaxx Company and the April ledger account for cash are summarized here: BANK STATEMENT Checks Deposits Other Balance по points Balance, April 1 April 5 April 9 April 12 April 19 April 22 April 27 April 29 April 30 $5,000 4,500 6,000 5,900 5,750 5,250 5,140 5,070 5,054 #101 $500 $1,500 #102 100 #103 150 eВook #104 500 EFT payment NSF check Service charge $110 Print 70 References 16 Cash (A) April 1 Balance April 8 April 28 5,000 1,500 April 2 April 10 #102 April 15 #103 April 20 #104 April 29 #105 500 #101 300 100 150 600 120 April 30 Balance 5,330 No outstanding checks and no deposits in transit were noted in March. However, there are deposits in transit and checks outstanding at the end of April. The EFT involved an automatic monthly payment to one of KMaxx's creditors. Check #104 was written for $600. The NSF check had been received from a customer. Required: Ac Graw lill SI < Prev 8 9 10 11 of 15 Next > Type here to search 29°C .06 Up to Up to 8. 73 Book Core fastern La Gen CPUs F1 F2 F3 F4 F5 F6 F7 F8 F9 F10 F11 F12 Pause 2 3 4 5 & 8. E R Y (8) DI
(221) WhatsApp
O Question 8- Chapter 05 Post-Ch X
ezto.mheducation.com/ext/map/index.html?_con%3Dcon&external_browser%30&launchUrl%=Dhttps%253A%252F%252Fnewconnect.ml
er 05 Post-Chapter Assignment
Saved
Check my work mode : This shows what is correct or incorrect for the work you have completed so far. It does not indic
1. Prepare a bank reconciliation for April.
TIP: Put
check mark beside each item that appears on both the bank statement and what's already been recorded in the accounting
records (shown in the T-account). Items left unchecked will be used in the bank reconciliation.
X Answer is not complete.
КМАХХ СОМPANY
Bank Reconciliation
At April 30
Bank Statement
Company's Books
Ending Balance per Bank
Statement
Ending Balance per Cash
Account
Additions:
S 5,054
$ 5.330
Additions:
Deposit in Transit
300
300
5,354
5,330
Deductions:
Deductions:
Outstanding Checks
120
NSF Check
70
Bank Service Charges
16
EFT Payment
110
120
196
Up-to-Date Cash Balance
$ 5,234
Up-to-Date Cash Balance
$ 5,134
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Transcribed Image Text:(221) WhatsApp O Question 8- Chapter 05 Post-Ch X ezto.mheducation.com/ext/map/index.html?_con%3Dcon&external_browser%30&launchUrl%=Dhttps%253A%252F%252Fnewconnect.ml er 05 Post-Chapter Assignment Saved Check my work mode : This shows what is correct or incorrect for the work you have completed so far. It does not indic 1. Prepare a bank reconciliation for April. TIP: Put check mark beside each item that appears on both the bank statement and what's already been recorded in the accounting records (shown in the T-account). Items left unchecked will be used in the bank reconciliation. X Answer is not complete. КМАХХ СОМPANY Bank Reconciliation At April 30 Bank Statement Company's Books Ending Balance per Bank Statement Ending Balance per Cash Account Additions: S 5,054 $ 5.330 Additions: Deposit in Transit 300 300 5,354 5,330 Deductions: Deductions: Outstanding Checks 120 NSF Check 70 Bank Service Charges 16 EFT Payment 110 120 196 Up-to-Date Cash Balance $ 5,234 Up-to-Date Cash Balance $ 5,134 %24 < Prev 8. 10 11 of 15 Next > ere to search 29°C 22 Up to 73 VIvOBoc faster than Last Gen CPUS F2 F3 F4 F5 F6 F7 F8 F9 F1O ... 00 4.
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