Respuesta :
Answer:
Harry's "true" cash balance= $1726
Explanation:
Harry Smith Bank reconciliation for 30 September is recorded as follows
BANK:
Balance as at September 30...................................................$545
Add: Deposit in transit .....................................................................$1790
Total ........................................................................................$2335
Less: outstanding checks .............................................................$609
Total adjusted bank balance ........... ...............................................$1726
BOOKS:
Balance as at September 30 ................................................................$1823
Add: EFT rent Collection ...................................................................$325
Total ..................................................................................................... $2184
Less:
Service charge ............................................................................................ $8
Printed check charges .................................................................... .............$10
NSF checks .................................................................................................. $125
Book error correction ( recorded a $310 check as $31 .............................. $279
Total ...................... ...................... ...................... ...................... ......................$422
Now Adjusted book balance = total in Add - total in less = $2184 - $422 =$1726
Harry's "true" cash balance= $1726
Answer:
Smith's actual cash balance is $1,726
Explanation:
Harry Smith Bank reconciliation for the month of September 30th is recorded as;
BANK:
Balance as at September 30=.$545
Add: Deposit in transit =.$1790
Total= $2335
Less: outstanding checks = $609
Adjusted total bank balance = $1726
BOOKS:
Balance as at September 30 = $1823
Add: EFT rent Collection= $325
Total= $1823+$325
Total= $2184
Less
Service charge = 8
NSF checks = $125
Printed check charges = $10
Book error correction ( recorded a $310 check as $31
=$310-$31
= $279
Total = $422
The value of the Adjusted book balance = total in Add - total in less
= $2184 - $422
$1,726
