Chapter 23
KAPLAN PUBLISHING
475
Bank reconciliations
47 The following information relates to a bank reconciliation.
(i)
The bank balance in the cash book before taking the items below into
account was $5,670 overdrawn.
(ii) Bank charges of $250 on the bank statement have not been entered
in the cash book.
(iii) The bank has credited the account in error with $40 which belongs to
another customer.
(iv) Cheque payments totalling $325 have been correctly entered in the
cash book but have not been presented for payment.
(v) Cheques totalling $545 have been correctly entered on the debit side
of the cash book but have not been paid in at the bank.
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