Bank Reconciliation The bank reconciliation made by Winton, Inc., on August 31 showed: ...
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Bank Reconciliation The bank reconciliation made by Winton, Inc., on August 31 showed:
Deposit in transit of
$1,280
Outstanding checks
no.597
$830
no.603
$640
The reconciled cash balance on August 31 was
$14,110
The following bank statement is available for September:
Bank Statement
TO
Winton, Inc.
September 30
St. Louis, MO
STATE BANK
Date
Deposits
No.
Date
Charges
Date
Balance
Sept.
1
$1,280
597
Sept.
1
$830
Aug.
31
$14,300
2
1,120
607
5
1,850
Sept.
1
14,750
5
850
608
5
1,100
2
15,870
9
744
609
8
640
5
13,770
15
1,360
610
9
552
8
13,130
17
1,540
611
15
488
9
13,322
25
1,028
612
17
674
15
14,194
30
680
614
25
920
17
15,060
NSF
29
1,028
25
15,168
SC
30
36
29
14,140
30
14,784
Item codes
EC: Error Correction
DM: Debit Memo
CM: Credit Memo
SC: Service Charge
OD: Overdraft
RT: Returned Item
IN: Interest Earned
NSF: Non-sufficient Funds
A list of deposits made and checks written during September is shown below:
Deposits Made
Checks Written
Sept.
1
$1,120
No.
607
$1,850
4
850
608
1,100
8
744
609
640
12
1,360
610
552
16
1,540
611
488
24
1,028
612
746
29
680
613
310
30
1,266
614
920
$8,588
615
386
616
420
$7,412
The Cash in Bank account balance on September 30 was $15,286. In reviewing checks returned by the bank, the accountant discovered that check No. 612 written for $674 for advertising expense, was recorded in the cash disbursements journal as $746. The NSF check written for $1,028, which Winton deposited on September 24, was a payment on account from customer D. Walker. Required a. Prepare a bank reconciliation for Winton, Inc., at September 30. b. Prepare the necessary journal entries to bring the Cash in Bank account into agreement with the reconciled cash balance on the bank reconciliation.
Bank reconciliation
Journal entries
WINTON, INC. Bank Reconciliation September 30
AnswerEnding Balance from Bank StatementBalance from General LedgerAdd: Deposits not credited by bankService chargeReconciled Cash Balance
Answer
AnswerEnding Balance from Bank StatementBalance from General LedgerAdd: Deposits not credited by bankService chargeReconciled Cash Balance
Answer
AnswerEnding Balance from Bank StatementBalance from General LedgerAdd: Deposits not credited by bankService chargeReconciled Cash Balance
Answer
Add: Check No. 612 for
Answer
Answer
recorded as
Answer
Answer
Answer
Less: Outstanding checks (list in numerical order)
Less: NSF Check of D. Walker
Answer
Check no.
Amount
603
Answer
AnswerEnding Balance from Bank StatementBalance from General LedgerAdd: Deposits not credited by bankService chargeReconciled Cash Balance
Answer
Answer
Answer
Answer
Answer
Answer
Answer
Answer
Answer
AnswerEnding Balance from Bank StatementBalance from General LedgerAdd: Deposits not credited by bankService chargeReconciled Cash Balance
Answer
AnswerEnding Balance from Bank StatementBalance from General LedgerAdd: Deposits not credited by bankService chargeReconciled Cash Balance
Answer
Please answer all parts of the question.
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