The following is information for Dundee Realty:
a Balance per the bank statement dated October is $
b Balance of the Cash account on the company books as of October is $
c $ of customer deposits were outstanding as of September ; this amount had been deposited to Dundee's account in October.
d Cheques written in October that had not cleared the bank as of October were:
#$
#$
#$
#$
e The bank charged Dundee's account for a $ cheque of the EZone Networks; the cheque was found among the cancelled cheques returned with the bank statement.
f Bank service charges for October amount to $
g A customer's cheque Teresa Krant for $ had been deposited in the bank correctly but was recorded in the accounting records as $
h Among the cancelled cheques is one for $ given in payment of an account payable to Decker Comp$ny; the bookkeeper had recorded the cheque incorrectly at $ in the company records.
i The bank statement showed an electronic fund transfer of $ for a customer payment. A bank service fee of $ was charged.
j A bank deposit of October for $ does not appear on the bank statement.
Required:
Prepare a bank reconciliation statement as of October
DUNDEE REALTY