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Instructions

Part 1 is as follows:the attached file.Part 2 is as follows:Lyleen Boat Company's bank statement for the month of September showed a balance per bank of $7,000. The company's Cash account in the general ledger had a balance of $5,459 at September 30. Other information is as follows:(1) Cash receipts for September 30 recorded on the company's books were $5,700 but this amount does not appear on the bank statement.(2) The bank statement shows a debit memorandum for $40 for check printing charges.(3) Check No. 119 payable to Mann Company was recorded in the cash payments journal and cleared the bank for $248. A review of the accounts payable subsidiary ledger shows a $36 credit balance in the account of Mann Company and that the payment to them should have been for $284.(4) The total amount of checks still outstanding at September 30 amounted to $5,000.(5) Check No. 138 was correctly written and paid by the bank for $409. The cash payment journal reflects an entry for Check No. 138 as a debit to Accounts Payable and a credit to Cash in Bank for $490.(6) The bank returned an NSF check from a customer for $360.(7) The bank included a credit memorandum for $2,560 which represents collection of a customer's note by the bank for the company; principal amount of the note was $2,500 and interest was $60. Interest has not been accrued.Instructions(a) Prepare a bank reconciliation for Lyleen Boat Company at September 30.(b) Prepare any adjusting entries necessary as a result of the bank reconciliation.

Answer

1 (a) Adjusted Cash book Balance$$Cash Balance as per the Book5,459Add:Accounts payable error81Customers note256026418,100Less:Check printing40NSF360(400)Adjusted cash balance as per books7,700Bank reconciliation$$Cash balance as per bank7,000Add: Deposit in transit5,70012,700Less: Outstanding checks(5000)Adjusted cash balance as per books7,70001 (b) Entries necessary as a result of the bank reconciliationSeptember 30Cash81Accounts Payable(Correct recording Ch. 138)81Cash2,560Notes Receivable2,500Interest revenue(Recording note receivable)60Check printing charges40Cash(Record printing charges)40Accounts Receivable360Cash(To record NSF)360Question 2Picard CompanySchedule of Accounts PayableDecember 30, 20-$Rykers2,400Geordie Company2,500Laforge Company10,500Deanna Troi14,000OBrien Supplies...

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