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marion
03-06-08, 09:58 AM
A's Bank statement shows an overdrawn balance of $38600 at 30 Jun 2005. A check against the company's cash book revealed the following differences: 1. Bank charges of $200 have not been entered in the cash book. 2. Lodgements recorded on 30 Jun 05 but credited by the bank on 2 July $14700. 3.Cheque payments entered in cash book but not presented for payment at 30 Jun 2005 $27800. 4. A cheque payment to a supplier of $4200 charged to the account in June 2005 recorded in the cash book as a receipt. Based on this information, what was the cash book balance BEFORE any adjustments? a)$43100 overdrawn b) $16900 overdrawn c)$60300 overdrawn d)$34100 overdrawn?

adgunny
22-06-08, 07:27 AM
Hi,the answer is a) $43,100 overdrawn..

marco1977
21-11-08, 03:35 PM
i'm thinking on this...who will give the right answer??

marco1977
21-11-08, 03:40 PM
I AGREE WITH YOU, ANSWER A) BECAUSE:

BANK STATEMENT BALANCE -38,600.00
BANK CHARGE 200.00
OUTSTANDING LODGEMENT 14,700.00
UNPRESENTED CHEQUES -27,800.00
ERROR 8,400.00
CASH BOOK BALANCE -43,100.00

nana_asamoah
21-11-08, 05:11 PM
These are quiet useful information.

Thanks.

prasanthishibu
13-08-09, 11:38 AM
Thank you very much