The cash records and bank statement for the month of July for Eagle Incorporated are...
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Accounting
The cash records and bank statement for the month of July for Eagle Incorporated are shown below. EAGLE INCORPORATED Cash Account Records July to July Cash Balance July Cash Receipts Cash Disbursements Cash Balance July $ $ $ $ Cash Receipts Cash Disbursements Date Description Amount Date Description Memo Amount Sales $ EFT Rent $ Sales EFT Salaries Sales DC Equipment CHK number Utilities CHK number Advertising $ $ PO Box FIDELITY UNION Member FDIC Gotebo, OK You Can Bank On Us OKIE Account Holder: Eagle Incorporated Main Street Gotebo, OK Account Number: Statement Date: July Beginning Balance July Deposits and Credits Withdrawals and Debits Ending Balance July Number Total Number Total $ $ $ $ Deposits and Credits Withdrawals and Debits Daily Balance Date Amount Description Date Number Amount Description Date Amount $ DEP $ CHK $ DEP EFT INT EFT NSF DC EFT SF $ $ $ Description DEP Customer deposit INT Interest earned SF Service fees NOTE Note collected CHK Customer check NSF Nonsufficient funds EFT Electronic funds transfer DC Debit card Additional information: The difference in the beginning balances in the companys records and the bank statement relates to check number which is outstanding as of June The debit card transaction for the purchase of equipment on is correctly processed by the bank. The EFT on July in the bank statement relates to the purchase of office supplies. Required: Prepare a bank reconciliation for Eagles checking account on July Record the necessary cash adjustments. PrevQuestion of Total of Visit question mapNext
The cash records and bank statement for the month of July for Eagle Incorporated are shown below.
EAGLE INCORPORATED
Cash Account Records
July to July
Cash Balance July Cash Receipts Cash Disbursements Cash Balance July
$ $ $ $
Cash Receipts Cash Disbursements
Date Description Amount Date Description Memo Amount
Sales $ EFT Rent $
Sales EFT Salaries
Sales DC Equipment
CHK number Utilities
CHK number Advertising
$ $
PO Box FIDELITY UNION Member FDIC
Gotebo, OK You Can Bank On Us
OKIE
Account Holder: Eagle Incorporated
Main Street
Gotebo, OK Account Number:
Statement Date: July
Beginning Balance July Deposits and Credits Withdrawals and Debits Ending Balance July
Number Total Number Total
$ $ $ $
Deposits and Credits Withdrawals and Debits Daily Balance
Date Amount Description Date Number Amount Description Date Amount
$ DEP $ CHK $
DEP EFT
INT EFT
NSF
DC
EFT
SF
$
$ $
Description DEP Customer deposit INT Interest earned SF Service fees
NOTE Note collected CHK Customer check NSF Nonsufficient funds
EFT Electronic funds transfer DC Debit card
Additional information:
The difference in the beginning balances in the companys records and the bank statement relates to check number which is outstanding as of June
The debit card transaction for the purchase of equipment on is correctly processed by the bank.
The EFT on July in the bank statement relates to the purchase of office supplies.
Required:
Prepare a bank reconciliation for Eagles checking account on July
Record the necessary cash adjustments.
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