question archive Bank Reconciliation and Related Journal Entries The book balance in the checking account of Johnson Enterprises as of October 31 is $5,720

Bank Reconciliation and Related Journal Entries The book balance in the checking account of Johnson Enterprises as of October 31 is $5,720

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Bank Reconciliation and Related Journal Entries

The book balance in the checking account of Johnson Enterprises as of October 31 is $5,720.20. The bank statement shows an ending balance of $5,203.00. The following information is discovered by (1) comparing last month's deposits in transit and outstanding checks with this month's bank statement, (2) comparing deposits and checks written per books and per bank in the current month, and (3) noting service charges and other debit and credit memos shown on the bank statement.

Deposits in transit: 10/29 $215.00  10/30 413.00Outstanding checks: No. 1635 55.20  No. 1639 177.00  No. 1641 139.20  No. 1653 455.40Unrecorded ATM withdrawal:*   200.00Bank service charge:   41.00NSF check:   491.00Error on Check No. 1624Checkbook shows it was for $75, but it was actually written for $59. Accounts Payable was debited.

*Funds were withdrawn by Enoch Johnson for personal use.

  1. Required:Bank statement balance, October 31$
  2. fill in the blank b26a0a0bd02d046_1
  3.  
  4. Add: deposits in transit 
  5. No. 1635 
  6. $
  7. fill in the blank b26a0a0bd02d046_4
  8. No. 1639 
  9. fill in the blank b26a0a0bd02d046_6
  10. fill in the blank b26a0a0bd02d046_7
  11. $
  12. fill in the blank b26a0a0bd02d046_8
  13.  
  14.  
  15. $
  16. fill in the blank b26a0a0bd02d046_11
  17.  
  18. fill in the blank b26a0a0bd02d046_13
  19.  
  20. fill in the blank b26a0a0bd02d046_15
  21.  
  22. fill in the blank b26a0a0bd02d046_17
  23. fill in the blank b26a0a0bd02d046_18
  24. Adjusted bank balance$
  25. fill in the blank b26a0a0bd02d046_19
  26.  Book balance, October 31$
  27. fill in the blank b26a0a0bd02d046_20
  28.  
  29. fill in the blank b26a0a0bd02d046_22
  30. $
  31. fill in the blank b26a0a0bd02d046_23
  32.  
  33. $
  34. fill in the blank b26a0a0bd02d046_25
  35.  
  36. fill in the blank b26a0a0bd02d046_27
  37.  
  38. fill in the blank b26a0a0bd02d046_29
  39. fill in the blank b26a0a0bd02d046_30
  40. Adjusted book balance$
  41. fill in the blank b26a0a0bd02d046_31
  42. 2. Prepare the required journal entries.
  43. Page:  DATEACCOUNT TITLEDOC.
  44. NO.POST.
  45. REF.DEBITCREDIT120--
  46. Oct. 31 
  47.   fill in the blank 438eff02afacfc4_2
  48. fill in the blank 438eff02afacfc4_3
  49. 12  
  50.   fill in the blank 438eff02afacfc4_5
  51. fill in the blank 438eff02afacfc4_6
  52. 23 Error on Check No. 1624    34      45Oct. 31 
  53.   fill in the blank 438eff02afacfc4_8
  54. fill in the blank 438eff02afacfc4_9
  55. 56  
  56.   fill in the blank 438eff02afacfc4_11
  57. fill in the blank 438eff02afacfc4_12
  58. 67 Unrecorded ATM withdrawal    78      89Oct. 31 
  59.   fill in the blank 438eff02afacfc4_14
  60. fill in the blank 438eff02afacfc4_15
  61. 910  
  62.   fill in the blank 438eff02afacfc4_17
  63. fill in the blank 438eff02afacfc4_18
  64. 1011 Bank service charge    1112      1213Oct. 31 
  65.   fill in the blank 438eff02afacfc4_20
  66. fill in the blank 438eff02afacfc4_21
  67. 1314  
  68.   fill in the blank 438eff02afacfc4_23
  69. fill in the blank 438eff02afacfc4_24
  70. 1415 NSF check    15

 

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