Essay
The accounting records for Delta Driving School shows a cash balance of $14,134 on February 28,2012.On the evening of February 28,company receipts of $1,250 were placed in the bank's night deposit drop box;this deposit was processed by the bank on March 1.The February 28 bank statement shows balance of $18,877,including collection of a $6,000 note receivable plus $55 of interest earned,a service charge of $40,and a $1,550 debit memo for the payment of the company's utility bill.All of the checks that the company had written during January were listed on the bank statement except for check #1908 in the amount of $1,528.
A)Prepare a bank reconciliation to calculate the company's adjusted cash balance at February 28,2012.
B)Prepare the journal entries needed to adjust the cash records as a result of the bank reconciliation procedures.
Correct Answer:

Verified
None...View Answer
Unlock this answer now
Get Access to more Verified Answers free of charge
Correct Answer:
Verified
View Answer
Unlock this answer now
Get Access to more Verified Answers free of charge
Q74: Which of the following is not a
Q76: Having one employee prepare company checks and
Q78: On June 30,a company had $1,924
Q79: Dance Town Academy The items listed
Q80: Delco Construction The following items relate
Q81: The foundation of the internal control system
Q82: Which of the following would <b>not</b> appear
Q96: Petty Cash is NOT considered to be
Q145: Which of the following is the correct
Q152: Explain how checking accounts, bank statements, and