Balance, February 28, 2019 Service charge for February Interest earned during February NSF check from Valerie Corp. (deposited by Firebird) Note ($12,000) and interest ($350) collected from a customer of Firebird's $87,392 100 875 630 12,350 An analysis of canceled checks and deposits and the records of Firebird Corp. revealed the following items: Checking account balance per Firebird's books Outstanding checks as of February 28 Deposit in transit at February 28 Error in recording check 7853 issued by Firebird $73,260 6,440 4,785 18

Intermediate Accounting: Reporting And Analysis
3rd Edition
ISBN:9781337788281
Author:James M. Wahlen, Jefferson P. Jones, Donald Pagach
Publisher:James M. Wahlen, Jefferson P. Jones, Donald Pagach
Chapter6: Cash And Receivables
Section: Chapter Questions
Problem 9RE: Refer to RE6-8. On April 23, 2020, McKinncy Co. receives a check, from Mangold Corporation for...
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Firebird Corp. prepares monthly bank reconciliations of its checking account balance. The bank statement for February 2019 indicated the following:                                                                    The correct amount of check #7853 is $797. It was recorded as a cash disbursement of $779 by
mistake. The check was issued to pay for merchandise purchases. The check appeared on the
bank statement correctly.
Required:
1. Prepare a bank reconciliation schedule at February 28, 2019, in proper form.
2. What is the amount of cash that should be reported on the February 28, 2019 balance sheet?
Balance, February 28, 2019
Service charge for February
Interest earned during February
NSF check from Valerie Corp. (deposited by Firebird)
Note ($12,000) and interest ($350) collected from
a customer of Firebird's
$87,392
100
875
630
12,350
An analysis of canceled checks and deposits and the records of Firebird Corp. revealed the
following items:
Checking account balance per Firebird's books
Outstanding checks as of February 28
Deposit in transit at February 28
Error in recording check 7853 issued by Firebird
$73,260
6,440
4,785
18
Transcribed Image Text:Balance, February 28, 2019 Service charge for February Interest earned during February NSF check from Valerie Corp. (deposited by Firebird) Note ($12,000) and interest ($350) collected from a customer of Firebird's $87,392 100 875 630 12,350 An analysis of canceled checks and deposits and the records of Firebird Corp. revealed the following items: Checking account balance per Firebird's books Outstanding checks as of February 28 Deposit in transit at February 28 Error in recording check 7853 issued by Firebird $73,260 6,440 4,785 18
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