FINANCIAL ACCOUNTING
10th Edition
ISBN: 9781259964947
Author: Libby
Publisher: MCG
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Below is information about Adam Ltd’s cash position for the month of May 2020.
- The general ledger Cash at Bank account had a balance of $42,400 on 30 April.
- The cash receipts journal showed total cash receipts of $585,408 for May.
- The cash payments journal showed total cash payments of $530,148 for May.
- The June bank statement reported a bank balance of $82,368 on 30 May.
- Outstanding cheques at the end of May were: no. 221, $2896; no. 225, $308; and no. 230, $820.
- Cash receipts of $20,180 for 31 May were not included in the May bank statement.
- A dishonoured cheque written by a client Jim Ltd, $272
- A credit for an electronic transfer from a customer of $1,288
- Interest earned, $88
- Account and transaction fees, $24
Required:
- Update the cash receipts and cash payments journals by adding the necessary adjustments and calculate the total cash receipts and cash payments for May.
- Post from cash receipts and cash payments journals to the Cash at Bank ledger account and balance the account.
- Prepare a
bank reconciliation statement at 31 May.
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