Respuesta :
Answer:
Bank Reconciliation Statement
Balance at bank as per Cash Book (up to date) Â Â Â $21,515
Add Unpresented Cheques                    $2,688
Less Bank Lodgements not yet credited         ($5,043)
Balance as per Bank Statement                 $19,160
Explanation:
First Bring the Cash Book Bank Balance up to date as follows :
Debits :
Balance as at September 30 Â Â Â Â Â Â Â $18,580
Collection- Electronic Funds NSF Â Â Â Â Â $2,110
H.Kane                            $840
Interest earned                      $70
Totals                           $21,600
Credits:
Safety deposit box rent               $85
Balance (Up to date) Â Â Â Â Â Â Â Â Â Â Â Â Â Â $21,515
Totals                           $21,600
The Prepare a Bank Reconciliation Statement as follows :
Bank Reconciliation Statement
Balance at bank as per Cash Book (up to date) Â Â Â $21,515
Add Unpresented Cheques                    $2,688
Less Bank Lodgements not yet credited         ($5,043)
Balance as per Bank Statement                 $19,160