Financial Accounting
Financial Accounting
14th Edition
ISBN: 9781305088436
Author: Carl Warren, Jim Reeve, Jonathan Duchac
Publisher: Cengage Learning
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Chapter 8, Problem 3PA

(a)

To determine

Prepare bank reconciliation of Company CM as at November 30, 2016.

(b)

To determine

Prepare adjusting journal entries for Company CM.

(c)

To determine

Report the amount of cash in the balance sheet on November 30.

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The cash account for Kahn Inc. on November 30, 2018, indicated a balance of $5,699. The bank statement indicated a balance of $13,167 on November 30, 2018. The following reconciling items were discovered.Checks outstanding totaled $5,175. A deposit of $3,842, representing cash receipts of November 30, had been made too late to appear on the bank statement. The bank had collected for Kahn $4,800 on a note left for collection. The face of the note was $4,200. Kahn had recorded a check for $2,040 as a $2,400. The check was for the payment of a 3-year insurance policy. A check for $1,176 had been incorrectly charged by the bank as $176. Bank service charges for November amounted to $25. Required: Prepare the bank reconciliation and journalize the necessary entries.
The cash account for Samson Supplies Co. at April 30, 2014, indicated a balance of $18,885. Thebank statement indicated a balance of $23,775 on April 30, 2014. Comparing the bank statementand the accompanying canceled cheques and memos with the records revealed the followingreconciling items:a) Cheques outstanding totaled $7,840b) A deposit of $3,580, representing receipts on April 30, had been made too late to appear onthe bank statement.c) The bank collected $3,780 on a note left for collection. The face of the note was $3,600.d) A cheque for $770 returned with the statement had been incorrectly recorded by SamsonSupplies Co. as $700. The cheque was for the payment of an obligation to Copelin Co. for apurchase on account.e) A cheque drawn for $330 had been erroneously charged by the bank as $3,300.f) Bank service charges for April amounted to $110.Required:a) Prepare a bank reconciliation statement for Samson Supplies Co., at April 30.b) Journalize the necessary entries. Assume that…
The Cash account of ReeseCorporation had a balance of $3,540 at October 31, 2018. Included were outstanding checkstotaling $1,800 and an October 31 deposit of $300 that did not appear on the bank statement.The bank statement, which came from Turnstone State Bank, listed an October 31 balance of$5,570. Included in the bank balance was an October 30 collection of $600 on account froma customer who pays the bank directly. The bank statement also showed a $30 service charge,$10 of interest revenue that Reese earned on its bank balance, and an NSF check for $50.Prepare a bank reconciliation to determine how much cash Reese actually had at October 31.

Chapter 8 Solutions

Financial Accounting

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