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ILJI PROBLEMS - CHAPTER 6 X a newconnect.mheducation.com TEST PROBLEMS - CHAPTER 6 Help Required information (The following i
Help B 2. Prepare the Journal entries necessary to make the companys book balance of cash equal to the reconciled cash balan
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Answer #1

Solution 1:

Branch Company
Bank Reconciliation - July 31
Bank's Cash balance Company's cash balance
Particulars Amount Particulars Amount
Ending balance as per Bank Statements $26,670.00 Ending Balance as per cash books $24,832.00
Additions: Additions:
Outstanding deposits $7,132.00 Note collection by bank (net of collection fee) $6,000.00
Deductions: Deductions:
Outstanding Checks (Check no 3031, 3065, 3069) ($1,300 + $426 + $2,068) $3,794.00 Incorrect recording of check no 3056 $10.00
NSF Check $805.00
Service Charge $9.00
Up to date cash balance as per bank $30,008.00 Up to date cash balance as per books $30,008.00

Solution 2:

Journal Entries
Date Particulars Debit Credit
a No Journal Entry Required
b No Journal Entry Required
c Rent expense Dr $10.00
      To Cash $10.00
(Correction entry for check no 3056)
d Cash Dr $6,000.00
       To Note receivables $6,000.00
(To record note collectioon by bank)
e Accounts receivables Dr $805.00
       To Cash $805.00
(To record NSF check from customer)
f Miscellenous Expenses Dr $9.00
       To Cash $9.00
(Being service charges debited by bank)
g No Journal Entry Required
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