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Bank reconciliation

Exercise 1 Prepare a Bank Reconciliation for: Candace Co. by May 31: The bank statement balance is $2,936. The cash account balance is $3,194. Outstanding checks amounted to $465. Deposits in transit are $655. The bank service charge is $50. A check for $97 for supplies was recorded as $79 in the ledger. Exercise 2. Roper Electronics received their bank statement for the month of August with an ending balance of $11,740. Roper determined that check #613 for $155 and check #601 for $420 were outstanding. In addition, a deposit of $6,900 for August 30 was in transit at the end of the month. Northern Regional Bank also cashed a $5,000 note receivable on August 1 that was issued on March 1. The accrued interest is $250. Northern Regional Bank charged a $35 fee for the collection service. The bank statement discloses a bank service charge of $20. A customer check for $68 was returned with the bank statement marked "NSF". The ending balance of Roper's cash account is $12,938.

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