Beeler Furniture Company deposits all cash receipts eachWednesday and Friday in a night depository,...

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Accounting

Beeler Furniture Company deposits all cash receipts eachWednesday and Friday in a night depository, after banking hours.The data required to reconcile the bank statement as of June 30,20Y2, have been taken from various documents and records and arereproduced as follows. The sources of the data are printed incapital letters. All checks were written for payments onaccount.

CASH ACCOUNT:
Balance as of June 1$9,317.40
CASH RECEIPTS FOR MONTH OF JUNE$9,223.76

DUPLICATE DEPOSIT TICKETS: Date and amount of each deposit inJune:

Date

Amount

Date

Amount

Date

Amount

June 1$1,080.50June 10$996.61June 22$897.34
3854.1715882.9524947.21
8840.50171,606.74301,117.74

CHECKS WRITTEN: Number and amount of each check issued inJune:

Check No.

Amount

Check No.

Amount

Check No.

Amount

740$237.50747Void754$449.75
741495.15748$450.90755272.75
742501.90749640.13756113.95
743761.30750276.77757407.95
744506.88751299.37758259.60
745117.25752537.01759901.50
746298.66753380.95760486.39

The total amount of checks issued in June: $8,395.66

BANK RECONCILIATION FOR PRECEDING MONTH:

Beeler Furniture Company

Bank Reconciliation

May 31, 20Y2

1

Cash balance according to the bank statement

$9,447.20

2

Adjustments:

3

Deposit for May 31 not recorded by the bank

$690.25

4

Outstanding Check No. 731

(162.15)

5

Outstanding Check No. 736

(345.95)

6

Outstanding Check No. 738

(251.40)

7

Outstanding Check No. 739

(60.55)

8

Total adjustments

(129.80)

9

Adjusted balance

$9,317.40

10

11

Cash balance according to the company’s records

$9,352.50

12

Adjustments:

13

Bank service charges

(35.10)

14

Adjusted balance

$9,317.40

Refer to the

June Bank Statement

.

Required:
1.Prepare a bank reconciliation as of June 30, 20Y2. If errors inrecording deposits or checks are discovered, assume that the errorswere made by the company. Assume that all deposits are from cashsales. All checks are written to satisfy accounts payable. Refer tothe Amount Descriptions list provided for the exact wording of theanswer choices for text entries. Round your answers to two decimalplaces. For those boxes in which you must enter subtracted ornegative numbers use a minus sign.
2.Journalize the necessary entries. Refer to the Chart ofAccounts for the exact wording of account titles. Round youranswers to two decimal places.
3.What is the amount of Cash that should appear on the balancesheet as of June 30, 20Y2?
4.Assume that a canceled check for $390 has been incorrectlyrecorded by the bank as $930. Briefly explain how the error wouldbe included in a bank reconciliation and how it should becorrected.

Chart of Accounts

CHART OF ACCOUNTS
Beeler Furniture Company
General Ledger
ASSETS
110Cash
111Petty Cash
120Accounts Receivable
131Notes Receivable
141Merchandise Inventory
145Office Supplies
146Store Supplies
151Prepaid Insurance
181Land
191Office Equipment
192Accumulated Depreciation-Office Equipment
193Store Equipment
194Accumulated Depreciation-Store Equipment
LIABILITIES
210Accounts Payable
221Notes Payable
222Interest Payable
231Salaries Payable
241Sales Tax Payable
EQUITY
310Common Stock
311Retained Earnings
312Dividends
313Income Summary
REVENUE
410Sales
610Interest Revenue
EXPENSES
510Cost of Merchandise Sold
515Credit Card Expense
516Cash Short and Over
520Salaries Expense
531Advertising Expense
532Delivery Expense
533Insurance Expense
534Office Supplies Expense
535Rent Expense
536Repairs Expense
537Selling Expenses
538Store Supplies Expense
561Depreciation Expense-Office Equipment
562Depreciation Expense-Store Equipment
590Miscellaneous Expense
710Interest Expense

Amount Descriptions

Amount Descriptions
Adjusted balance
The check returned because of insufficient funds
Deposit of June 30, not recorded by the bank
Error in recording Check No. 743
Error in recording June 10 deposit
Error in recording June 24 deposit
Interest
Principal
Proceeds of note collected by the bank: Principal
Proceeds of note collected by the bank: Interest
Service charges
Total adjustments
Outstanding Check No. 738
Outstanding Check No. 756
Outstanding Check No. 758
Outstanding Check No. 759

Bank Reconciliation

1. Prepare a bank reconciliation as of June 30, 20Y2. If errorsin recording deposits or checks are discovered, assume that theerrors were made by the company. Assume that all deposits are fromcash sales. All checks are written to satisfy accounts payable.Refer to the Amount Descriptions list provided for the exactwording of the answer choices for text entries. Round your answersto two decimal places. (Note: For those boxes in which you mustenter subtracted or negative numbers use a minus sign. )

Beeler Furniture Company

Bank Reconciliation

June 30, 20Y2

1

Cash balance according to a bank statement

2

Adjustments:

3

4

5

6

7

8

9

10

11

Cash balance according to the company’s records

12

Adjustments:

13

14

15

16

17

18

19

20

21

Journal

2. Journalize the necessary entries. Refer to the Chart ofAccounts for the exact wording of account titles. Round youranswers to two decimal places.

PAGE 1

JOURNAL

ACCOUNTING EQUATION

DATEDESCRIPTIONPOST. REF.DEBITCREDITASSETSLIABILITIESEQUITY

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Answer & Explanation Solved by verified expert
4.1 Ratings (456 Votes)
Beeler Furniture Company Bank Reconciliation June 30 20Y2 Cash Balance according to bank Statement 1362471 Add Deposit for June 30 not    See Answer
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In: AccountingBeeler Furniture Company deposits all cash receipts eachWednesday and Friday in a night depository, after...Beeler Furniture Company deposits all cash receipts eachWednesday and Friday in a night depository, after banking hours.The data required to reconcile the bank statement as of June 30,20Y2, have been taken from various documents and records and arereproduced as follows. The sources of the data are printed incapital letters. All checks were written for payments onaccount.CASH ACCOUNT:Balance as of June 1$9,317.40CASH RECEIPTS FOR MONTH OF JUNE$9,223.76DUPLICATE DEPOSIT TICKETS: Date and amount of each deposit inJune:DateAmountDateAmountDateAmountJune 1$1,080.50June 10$996.61June 22$897.343854.1715882.9524947.218840.50171,606.74301,117.74CHECKS WRITTEN: Number and amount of each check issued inJune:Check No.AmountCheck No.AmountCheck No.Amount740$237.50747Void754$449.75741495.15748$450.90755272.75742501.90749640.13756113.95743761.30750276.77757407.95744506.88751299.37758259.60745117.25752537.01759901.50746298.66753380.95760486.39The total amount of checks issued in June: $8,395.66BANK RECONCILIATION FOR PRECEDING MONTH:Beeler Furniture CompanyBank ReconciliationMay 31, 20Y21Cash balance according to the bank statement$9,447.202Adjustments:3Deposit for May 31 not recorded by the bank$690.254Outstanding Check No. 731(162.15)5Outstanding Check No. 736(345.95)6Outstanding Check No. 738(251.40)7Outstanding Check No. 739(60.55)8Total adjustments(129.80)9Adjusted balance$9,317.401011Cash balance according to the company’s records$9,352.5012Adjustments:13Bank service charges(35.10)14Adjusted balance$9,317.40Refer to theJune Bank Statement.Required:1.Prepare a bank reconciliation as of June 30, 20Y2. If errors inrecording deposits or checks are discovered, assume that the errorswere made by the company. Assume that all deposits are from cashsales. All checks are written to satisfy accounts payable. Refer tothe Amount Descriptions list provided for the exact wording of theanswer choices for text entries. Round your answers to two decimalplaces. For those boxes in which you must enter subtracted ornegative numbers use a minus sign.2.Journalize the necessary entries. Refer to the Chart ofAccounts for the exact wording of account titles. Round youranswers to two decimal places.3.What is the amount of Cash that should appear on the balancesheet as of June 30, 20Y2?4.Assume that a canceled check for $390 has been incorrectlyrecorded by the bank as $930. Briefly explain how the error wouldbe included in a bank reconciliation and how it should becorrected.Chart of AccountsCHART OF ACCOUNTSBeeler Furniture CompanyGeneral LedgerASSETS110Cash111Petty Cash120Accounts Receivable131Notes Receivable141Merchandise Inventory145Office Supplies146Store Supplies151Prepaid Insurance181Land191Office Equipment192Accumulated Depreciation-Office Equipment193Store Equipment194Accumulated Depreciation-Store EquipmentLIABILITIES210Accounts Payable221Notes Payable222Interest Payable231Salaries Payable241Sales Tax PayableEQUITY310Common Stock311Retained Earnings312Dividends313Income SummaryREVENUE410Sales610Interest RevenueEXPENSES510Cost of Merchandise Sold515Credit Card Expense516Cash Short and Over520Salaries Expense531Advertising Expense532Delivery Expense533Insurance Expense534Office Supplies Expense535Rent Expense536Repairs Expense537Selling Expenses538Store Supplies Expense561Depreciation Expense-Office Equipment562Depreciation Expense-Store Equipment590Miscellaneous Expense710Interest ExpenseAmount DescriptionsAmount DescriptionsAdjusted balanceThe check returned because of insufficient fundsDeposit of June 30, not recorded by the bankError in recording Check No. 743Error in recording June 10 depositError in recording June 24 depositInterestPrincipalProceeds of note collected by the bank: PrincipalProceeds of note collected by the bank: InterestService chargesTotal adjustmentsOutstanding Check No. 738Outstanding Check No. 756Outstanding Check No. 758Outstanding Check No. 759Bank Reconciliation1. Prepare a bank reconciliation as of June 30, 20Y2. If errorsin recording deposits or checks are discovered, assume that theerrors were made by the company. Assume that all deposits are fromcash sales. All checks are written to satisfy accounts payable.Refer to the Amount Descriptions list provided for the exactwording of the answer choices for text entries. Round your answersto two decimal places. (Note: For those boxes in which you mustenter subtracted or negative numbers use a minus sign. )Beeler Furniture CompanyBank ReconciliationJune 30, 20Y21Cash balance according to a bank statement2Adjustments:34567891011Cash balance according to the company’s records12Adjustments:131415161718192021Journal2. Journalize the necessary entries. Refer to the Chart ofAccounts for the exact wording of account titles. Round youranswers to two decimal places.PAGE 1JOURNALACCOUNTING EQUATIONDATEDESCRIPTIONPOST. REF.DEBITCREDITASSETSLIABILITIESEQUITY12345678

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