Solved

The Following Pertains to Carlisle Company

Question 118

Essay

The following pertains to Carlisle Company:
1. Balance per bank statement, dated March 31, $4,450.
2. Balance of Cash account on company's books at March 31, $4,459.
3. The $1,300 deposit of March 31 was not included in the bank statement.
4. Of the checks recorded as cash disbursements in March, checks totaling $1,050 have not cleared the bank.
5. Service charges for the month, $10.
6. The bank erroneously charged the company's account for a $200 check of another company with a similar name.
7. The bank credited the company's account with the $1,000 proceeds of a noninterest-bearing note that it collected for the company.
8. NSF check of $75 was returned with the bank statement.
9. The bank paid and charged to the company's account a $507 noninterest-bearing note of the company. The payment has not been recorded by the company.
10. The bookkeeper recorded a customer's check of $148 as $135.
11. The bank credited the company's account for $20 interest earned.
Prepare the bank reconciliation as of March 31.

Correct Answer:

verifed

Verified

Unlock this answer now
Get Access to more Verified Answers free of charge

Related Questions

Unlock this Answer For Free Now!

View this answer and more for free by performing one of the following actions

qr-code

Scan the QR code to install the App and get 2 free unlocks

upload documents

Unlock quizzes for free by uploading documents