Academic Integrity: tutoring, explanations, and feedback — we don’t complete graded work or submit on a student’s behalf.

ALIENWARE 3. Bank reconciliation At April 30, the balance of the Cash account ac

ID: 2460618 • Letter: A

Question

ALIENWARE 3. Bank reconciliation At April 30, the balance of the Cash account according to the records of Zip company was $40,360. The April 30 bank statement showed a balance of $55,774. You are to prepare the bank reconciliation of Zip Company at April 30, using the following supplementary information: a. Deposit in transit at April 30, $10,320. b. Outstanding checks: no. 493, $3,360; no. 496 $1,820; no. 497, $1,235; no. 499, $2,810; no. 492, $9225. c. Service charge by bank, $74. d. A note receivable for $8,600 left by Zip Company with bank for collection that had been collected and credited to company's account. No interest involved. A check for $450 drawn by customer, Martin Able, but deducted from Zip's account by the bank and returned with the notation "NSF." e. Zp's check no. 480, issued in payment of $3,810 worth of office equipment, correctly written in the amount of $3,810 but erroneously recorded in Zip's accounting records as $3,018. ZIP COMPANY

Explanation / Answer

Balance as per Book          40,360 Less: Deposit in transit        -10,320 Add: outstanding checks          18,450 Less: Bank service chrges                 -74 Add: Note collected            8,600 Less: NSF Check              -450 Less: Clerical Error              -792 Balance as per Bank          55,774 Debit bank service charges        74 Debit Accounts receiveble      450 Debit Office equipments      792 Debit cash 7,284 Credit Notes receiveble 8600