n in March but still outstanding $9,900. n in February but still outstanding $4,700. rch 30 and 31 not yet recorded by bank $7,960. customer returned by bank $890. for $794 was correctly issued and paid by bank but incorrectly entered in

College Accounting (Book Only): A Career Approach
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Chapter6: Bank Accounts, Cash Funds, And Internal Controls
Section: Chapter Questions
Problem 5PB
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Culver's Grocery Store developed the following information for the month of March, 2024:
Balance per books March 31
Balance per bank statement March 31
1.
2.
3.
4.
5.
6.
7.
8.
$2,095
$13,300
Cheques written in March but still outstanding $9,900.
Cheques written in February but still outstanding $4,700.
Deposits of March 30 and 31 not yet recorded by bank $7,960.
NSF cheque of customer returned by bank $890.
Cheque no. 210 for $794 was correctly issued and paid by bank but incorrectly entered in the general journal as
payment on account for $749.
Bank service charge for March was $50.
A payment on account was incorrectly entered in the general journal and posted to the Accounts Payable
subsidiary ledger for $944 when cheque no. 318 was correctly prepared for $494. The cheque cleared the bank
in March.
A review of the bank statement revealed Culver's Grocery received electronic payments from customers on
account of $5,100 during March.
Prepare a bank reconciliation at March 31, 2024. (List items that increase balance as per bank & books first.)
Transcribed Image Text:Culver's Grocery Store developed the following information for the month of March, 2024: Balance per books March 31 Balance per bank statement March 31 1. 2. 3. 4. 5. 6. 7. 8. $2,095 $13,300 Cheques written in March but still outstanding $9,900. Cheques written in February but still outstanding $4,700. Deposits of March 30 and 31 not yet recorded by bank $7,960. NSF cheque of customer returned by bank $890. Cheque no. 210 for $794 was correctly issued and paid by bank but incorrectly entered in the general journal as payment on account for $749. Bank service charge for March was $50. A payment on account was incorrectly entered in the general journal and posted to the Accounts Payable subsidiary ledger for $944 when cheque no. 318 was correctly prepared for $494. The cheque cleared the bank in March. A review of the bank statement revealed Culver's Grocery received electronic payments from customers on account of $5,100 during March. Prepare a bank reconciliation at March 31, 2024. (List items that increase balance as per bank & books first.)
CULVER GROCERY STORE
Bank Reconciliation
$
$
$
$
$
Transcribed Image Text:CULVER GROCERY STORE Bank Reconciliation $ $ $ $ $
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