Alphas Company had the following banking information from its bank statement dated July 31, 2017: – Online Homework Help


Alphas Company had the following banking information from its bank statement dated July 31, 2017:
Item
Amount
Cash Balance per Bank (7/3/17)
$3,350
Bank Service Charges
75
Collection of Note Receivable from Mr. Yankee including the interest of $145
3,145
Customer (Mr. Welcher) returned cheque NSF
225
The following additional information was determined from a review of the cash payments & receipts and the cheque register for Alpha Company
The following cheques had not cleared the bank as paid:
DATE
Ck #
Accounts Payable
Amount
5/25/17
1005
Bravo Office Supply Store
$250
7/15/17
1025
Zulu Electric Company
1,900
7/30/17
1030
Bravo Office Supply Store
250
The following information was recorded in Alpha’s cash receipts ledger and have not yet been recorded in the bank statements:
Date
Item
Amount
5/25/17
Store Cash Sales
$200
7/31/17
Store Cash Sales
$200
7/31/17
Cheques From Store Sales
5,500
7/31/17
Cash Balance per General Ledger (7/31/17)
4,005
                Prepare, in good form, the July 31, 2017 Bank Reconciliation for Alpha Company.
ANSWER:
Bank Reconciliation:

Bank Reconciliation

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