Bank reconciliation The following bank reconciliation was prepared as of June 30, 20Y7: Line Item Description Amount Amount Cash balance according to bank statement   $15,915   Add: Outstanding Check No. 1067 $565              Outstanding Check No. 1106 450              Outstanding Check No. 1110 1,090              Outstanding Check No. 1113 950                Total additions   3,055   Deduct: Deposit of June 30 not recorded by bank   (6,900) Adjusted balance   $12,070 Cash balance according to company’s records   $8,070   Add: Proceeds of note collected by bank: Face value  $6,000             Proceeds of note collected by bank: Interest 300             Service charges 10               Total additions   6,310   Deduct: Check returned because of insufficient funds $900                  Error in recording June 17 deposit of $8,150 as $1,850 6,300                    Total deductions   (7,200) Adjusted balance   $7,180 Question Content Area a.   Identify the errors in the following bank reconciliation: Item Correct Heading   Outstanding checks   Deposit of June 30   Service charges   Error in June 17 deposit   Adjusted balance per the bank

Corporate Financial Accounting
14th Edition
ISBN:9781305653535
Author:Carl Warren, James M. Reeve, Jonathan Duchac
Publisher:Carl Warren, James M. Reeve, Jonathan Duchac
Chapter7: Internal Control And Cash
Section: Chapter Questions
Problem 7.3BE
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Bank reconciliation

The following bank reconciliation was prepared as of June 30, 20Y7:

Line Item Description Amount Amount
Cash balance according to bank statement   $15,915
  Add: Outstanding Check No. 1067 $565  
           Outstanding Check No. 1106 450  
           Outstanding Check No. 1110 1,090  
           Outstanding Check No. 1113 950  
             Total additions   3,055
  Deduct: Deposit of June 30 not recorded by bank   (6,900)
Adjusted balance   $12,070
Cash balance according to company’s records   $8,070
  Add: Proceeds of note collected by bank: Face value  $6,000  
          Proceeds of note collected by bank: Interest 300  
          Service charges 10  
            Total additions   6,310
  Deduct: Check returned because of insufficient funds $900  
               Error in recording June 17 deposit of $8,150 as $1,850 6,300  
                 Total deductions   (7,200)
Adjusted balance   $7,180

Question Content Area

a.  

Identify the errors in the following bank reconciliation:

Item Correct
Heading
 
Outstanding checks
 
Deposit of June 30
 
Service charges
 
Error in June 17 deposit
 
Adjusted balance per the bank
 
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