Respuesta :
Answer:
Explanation:
Cash balance - 5,140
Add cash deposited 39,175
Deduct check written (40,520)
Cash balance 3,795
Bank reconciliation for Coastal Bile for the month ended October 31
Cash balance in bank statement - 8980
Deposit not recorded ( 1050)
Bank error on check (730-370) (360)
Outstanding check 5,560
Adjustment (4,150)
New balance 4,830
Cash balance 3,795
Note received by bank 2,120
Bank charges (25)
Returned check (880)
Error in returned check (180)
Adjustment (1,035)
New balance 2760
2
Journal entries
Description Dr Cr
Cash 2,120
Note receivable 2,000
Interest income 120
Accounts payable (Rack pro) 180
Accounts receivable (condos) 880
Bank charges 25
Cash 1,085
3
Cash in Balanced sheet = Adjusted balance in the reconciliation
2,760