Question

In: Accounting

Bank Reconciliation and Entries The cash account for Brentwood Bike Co. at May 1 indicated a...

Bank Reconciliation and Entries

The cash account for Brentwood Bike Co. at May 1 indicated a balance of $13,720. During May, the total cash deposited was $69,160 and checks written totaled $64,220. The bank statement indicated a balance of $23,450 on May 31. Comparing the bank statement, the canceled checks, and the accompanying memos with the records revealed the following reconciling items:

  1. Checks outstanding totaled $10,440.
  2. A deposit of $8,510, representing receipts of May 31, had been made too late to appear on the bank statement.
  3. The bank had collected for Brentwood Bike Co. $4,500 on a note left for collection. The face of the note was $4,150.
  4. A check for $580 returned with the statement had been incorrectly charged by the bank as $850.
  5. A check for $520 returned with the statement had been recorded by Brentwood Bike Co. as $250. The check was for the payment of an obligation to Adkins Co. on account.
  6. Bank service charges for May amounted to $60.
  7. A check for $1,040 from Jennings Co. was returned by the bank because of insufficient funds.

Instructions:

1. Prepare a bank reconciliation as of May 31.

Brentwood Bike Co.
Bank Reconciliation
May 31
Cash balance according to bank statement $
$
$
Adjusted balance $
Cash balance according to company's records $
$
$
Adjusted balance $

2. Journalize the necessary entries (a.) that increase cash and (b.) that decrease cash. The accounts have not been closed. For a compound transaction, if an amount box does not require an entry, leave it blank.

a. May 31
b. May 31

3. If a balance sheet is prepared for Brentwood Bike Co. on May 31, what amount should be reported as cash?
$

Solutions

Expert Solution

1.

Bentwood Bike Co.
Bank Reconciliation
May-31
Cash balance according to Bank Statement $23,450
Add: Deposit of May 31, not recorded by Bank $8,510
Add: Bank error in charging check as $850 instead of $580 $270 $8,780
$32,230
Deduct: Outstanding checks $10,440
Adjusted Balance $21,790
Cash balance according to Company's books (13720+69160-64220) $18,660
Add: Note collected by Bank (Including Interest) $4,500
$23,160
Deduct: Company's error in charging check as $250 instead of $520 $270
Deduct: Bank Service Charges $60
Deduct: Insufficient Fund Check $1,040 $1,370
Adjusted Balance $21,790

2.

Journal Entries
S.No Date Particulars Debit Credit
(a) 31-May Cash Dr $4,500
       To Note Receivable $4,150
       To Interest Revenue $350
(To record increase in cash as note collected)
(b) 31-May Accounts Payable Dr $270
Bank Service Charges Dr $60
Accounts Receivable Dr $1,040
       To Cash $1,370
(To record decrease in cash)

3.

cash balance = $21,790


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