Determine the outstanding checks at may 31
WebSage Hill Inc.’s bank statement from Main Street Bank at August 31, 2024, gives the following information. A summary of the Cash account in the ledger for August shows the following: balance, August 1, $18,885; receipts $74,185; disbursements $73,555; and balance, August 31, $19,515. Analysis reveals that the only reconciling items on the ... WebProblem-8: Fraud, Internal Control, and Cash. On April 30, the bank reconciliation of Westbrook Company shows three outstanding checks no. 254, $650, no. 255, $620, and no. 257, $410. The May bank statement and …
Determine the outstanding checks at may 31
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WebAug 31, 2024 · Marin Inc.’s bank statement from Main Street Bank at August 31, 2024, gives the following information. Balance, August 1 $18,620 Bank debit memorandum: August deposits 71,220 Safety deposit box fee $ 55 Checks cleared in August 65,648 Service charge 80 Bank credit memorandum: Balance, August 31 24,132 Interest earned … WebHow do I list the outstanding checks on May 31? The three outstanding checks are no 254, $650; no. 255, $720; and no.257, $410. Please tell me how you got them I am so …
WebProblem-8: Fraud, Internal Control, and Cash. On April 30, the bank reconciliation of Westbrook Company shows three outstanding checks no. 254, $650, no. 255, $620, … WebCheck No. 179 for P26,400 was erroneously recorded in the books as P46,200. Interest on an outstanding loan payable, deducted by the bank on May 31, P1,320. Collections on May 31 to be deposited on June 1, P26,488. Questions. GRACE COMPANY’S adjusted cash balance at May 31, 2006 is: a. P 341,939 b. P 283,288 c. P 297,588 d. P 273,168.
WebJan 18, 2024 · Rodgers Company gathered the following reconciling information in preparing its May bank reconciliation. Calculate the adjusted cash balance per books on May 31. Deposits in transit $215 Notes receivable and interest collected by bank $955 Bank charge for check printing $43 Outstanding checks $1,152 NSF check $173 A. $1,170 B. … WebRodgers Company gathered the following reconciling information in preparing its May bank reconciliation a. Prepare the Bank Reconciliation Statement on May 31. (9 marks) b. Shows the journal entries required on May 31 to adjust Rodgers cash balance (6 marks) Cash balance per books, 5/31 $5,400 Balance per bank statement, 5/31 7,895 Deposits in ...
WebOct 9, 2024 · Clayborn's May bank statement shows $22,600 on deposit in the bank. Determine the adjusted cash balance using the following information: Deposit in transit $ 7,750 Outstanding checks $ 6,300 Bank service fees, not yet recorded by company $ 110 A NSF check from a customer, not yet recorded by the company $ 1,365 The adjusted …
WebDetermine the outstanding checks by comparing the check numbers that have cleared the bank with the check numbers issued by the company. Use check marks in the … small engine repair in winnipegWebFor example, a deposit made in a bank’s night depository on May 31 would be recorded by the company on May 31 and by the bank on June 1. Thus, the deposit does not appear on a bank statement for the month ended … small engine repair in wichita falls texasWebMar 13, 2024 · On the bank statement, compare the company’s list of issued checks and deposits to the checks shown on the statement to identify uncleared checks and deposits in transit. Using the cash balance shown on the bank statement, add back any deposits in transit. Deduct any outstanding checks. This will provide the adjusted bank cash balance. small engine repair in wallburgWebAs a result, the bank reconciliation for the current month will again show the outstanding check amount as a subtraction from the bank statement balance. If an outstanding check of the previous month clears the bank, it means the bank paid the check and the check will appear as a deduction on the statement. Hence, the check is removed from the ... small engine repair john coll georgetown txWeba. The May 31 bank statement lists $150 in bank service charges; the company has not yet recorded the cost of these services. b. Outstanding checks as of May 31 total $6,100. C. May 31 cash receipts of $6,700 were placed in the bank's night depository after banking hours and were not recorded on the May 31 bank statement d. In reviewing the ... small engine repair joplin moWebMar 31, 2024 · Risks and Outstanding Checks. If the payee doesn't deposit the check right away, it becomes an outstanding check. This means the balance remains in the payor's … song flashdanceWebJul 3, 2024 · answered • expert verified. Clayborn Company deposits all cash receipts on the day they are received and makes all cash payments by check. At the close of business … small engine repair key west