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Identify Each of the Following Reconciling Items as an Addition

Question 178

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Identify each of the following reconciling items as an addition to the cash balance according to the bank statement, deduction from the cash balance according to the bank statement, an addition to the cash balance according to the company's records, or a deduction from the cash balance according to the company's records. Assume that none of the transactions reported by bank debit and credit memos have been recorded by the company. Also, indicate by writing (Entry) those items that will require a journal entry in the company's accounts.

Premises:
Outstanding checks.
Deposits in transit.
Check for $690 incorrectly recorded by the company as $960.
Bank service charges.
NSF check.
Check for $420 incorrectly recorded by the company as $240.
Responses:
deduction from the cash balance according to the bank statement
an addition to the cash balance according to the bank statement
an addition to the cash balance according to the company’s records
a deduction from the cash balance according to the company’s records.

Correct Answer:

Outstanding checks.
Deposits in transit.
Check for $690 incorrectly recorded by the company as $960.
Bank service charges.
NSF check.
Check for $420 incorrectly recorded by the company as $240.
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