The following information relates to Cullumber Limited's Cash account. The reconciled cash balance from June's bank reconciliation is $24,490. During the month of July, Cullumber recorded cash receipts of $27,680 and cash payments of $31,200 in the general ledger Cash account. An examination of the company's July bank statement shows a balance of $24, 446 on July 31 ; outstanding cheques $4, 580; deposits in transit $1,880; EFT collections on account that were not yet recorded on the books $2,700; NSF cheque NSF fee $64; and bank service charges $120. Determine the cash balance per Cullumber Limited's books. Cash balance Prepare the bank reconciliation at July 31. (List items that increase balance as per bank & books first.) CULLUMBER LIMITED Bank Reconciliation July 31

Financial Accounting
14th Edition
ISBN:9781305088436
Author:Carl Warren, Jim Reeve, Jonathan Duchac
Publisher:Carl Warren, Jim Reeve, Jonathan Duchac
Chapter8: Sarbanes-oxley, Internal Control, And Cash
Section: Chapter Questions
Problem 18E
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The following information relates to Cullumber Limited's Cash account. The reconciled cash balance from June's bank reconciliation is
$24,490. During the month of July, Cullumber recorded cash receipts of $27,680 and cash payments of $31,200 in the general
ledger Cash account. An examination of the company's July bank statement shows a balance of $24, 446 on July 31; outstanding
cheques $4, 580; deposits in transit $1,880; EFT collections on account that were not yet recorded on the books $2,700; NSF
cheque NSF fee $64; and bank service charges $120. Determine the cash balance per Cullumber Limited's books. Cash balance
Prepare the bank reconciliation at July 31. (List items that increase balance as per bank & books first.) CULLUMBER LIMITED Bank
Reconciliation July 31
Transcribed Image Text:The following information relates to Cullumber Limited's Cash account. The reconciled cash balance from June's bank reconciliation is $24,490. During the month of July, Cullumber recorded cash receipts of $27,680 and cash payments of $31,200 in the general ledger Cash account. An examination of the company's July bank statement shows a balance of $24, 446 on July 31; outstanding cheques $4, 580; deposits in transit $1,880; EFT collections on account that were not yet recorded on the books $2,700; NSF cheque NSF fee $64; and bank service charges $120. Determine the cash balance per Cullumber Limited's books. Cash balance Prepare the bank reconciliation at July 31. (List items that increase balance as per bank & books first.) CULLUMBER LIMITED Bank Reconciliation July 31
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