Sensible Company Bank Reconciliation Dec-31

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SENSIBLE COMPANY

BANK RECONCILIATION
Dec-31
BOOK BALANCE:
Cash balance per ledger
Add: Credit Memo
TOTAL
Less: Debit Memo - 10,000
- 5,000
TOTAL
Less: Bank Error
Adjusted Book Balance

BANK BALANCE:
Cash Balance per bank
Add: Deposit in Transit
TOTAL
Less: Outstanding Checks
Check No. 770 - 20,000
Check No. 775 - 30,000
Check No. 777 - 40,000
TOTAL
Add: Bank Error
Adjusted Bank Balance

ADJUSTING ENTRIES:
Cash In Bank 45,000
Bank Service Charge 5,000
Notes Receivable

Accounts Receivable 10,000


Cash in Bank

Bank Service Charge 5,000


Cash In Bank
NCILIATION

110,000
45,000
155,000

- 15,000
140,000
- 27,000
PHP 113,000

135,000
60,000
195,000

- 90,000
105,000
8,000
PHP 113,000

50,000

10,000

5,000
Problem 8-3, P. 245
XANTHOUS COMPANY
BANK RECONCILIATION
Feb-28
BOOK BALANCE:
Cash Balance per ledger
Add: Credit Memo
TOTAL
Less: Debit Memo
Adjusted Book Balance

BANK BALANCE:
Cash Balance per bank
Add: Deposit in Transit
TOTAL
Less: Outstanding Checks
Check No. 116 - 60,000
Check No. 121 - 180,000
Check No. 124 - 120,000
Check No. 125 - 250,000
Adjusted Bank Balance

ADJUSTING ENTRIES:
Cash In Bank 270,000
Bank Service Charge 10,000
Notes Receivable
Interest Receivable

Bank Service Charge 5,000


Cash In Bank
S COMPANY
ONCILIATION

2,840,000
270,000
3,110,000
- 5,000
PHP 3,105,000

3,265,000
450,000
3,715,000

- 610,000
PHP 3,105,000

250,000
30,000

5,000
RANCOR COMPANY
BANK RECONCILIATION
Dec-31
BOOK BALANCE:
Cash Balance per Ledger
Add: Credit Memo
Bank Loan 940,000
Notes Receivable 435,000
TOTAL
Less: Debit Memo
Technically Defective Check - 50,000
Bank Service Charge - 10,000
Adjusted Book Balance

BANK BALANCE:
Cash Balance per Bank
Add: Deposit In Transit
TOTAL
Less: Oustanding Checks
TOTAL
Add: Bank Errors
Incorrect bank charge 150,000
Erroneous Debit Memo 200,000
Understatement in Deposit 90,000
TOTAL
Less: Bank Errors
Adjusted Bank Balance

ADJUSTING ENTRIES:
Cash In Bank 940,000
Loans Payable

Cash In Bank 435,000


Collection Charge 5,000
Notes Receivable
Interest Receivable

Accounts Receivable 50,000


Cash In Bank

Bank Service Charge 10,000


Cash In Bank
NCILIATION

2,700,000

1,375,000
4,075,000

- 60,000
PHP 4,015,000

4,000,000
475,000
4,475,000
- 600,000
3,875,000

440,000
4,315,000
- 300,000
PHP 4,015,000

400,000
40,000

50,000

10,000
APATHY COMPANY
BANK RECONCILIATION
Dec-31
BOOK BALANCE
Cash balance per Ledger

- 15,000
- 30,000
- 50,000

- 5,000
- 15,000
- 40,000
- 10,000
- 30,000
- 25,000
- 50,000
ONCILIATION

108,000
80,000
188,000

- 95,000
93,000

100,000
50,000
10,000
80,000
240,000

- 175,000
65,000
28,000

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