Question

Use the following data for the next five questions: A partially completed bank reconciliation for RACE...

Use the following data for the next five questions:
A partially completed bank reconciliation for RACE Company at December 31, 2012, as well as additional data necessary to answer the questions, follow:
RACE COMPANY
Bank Reconciliation
December 31, 2012
Balance per books $ 15,650
Add: (1)
Deduct: (2)
Adjusted cash balance $
  
Balance per bank statement $ 21,010
Add: (3)
Deduct: (4)
Adjusted cash balance $
Differences between book records and bank statement on December 31, 2012 are as follows:
a. Bank debit memo of $190 for bank fees on overdrawn accounts from December 16-19, 2012.
b. Check no. 2022 (for supplies) was written for $890 but erroneously recorded in Race’s records as $980.
c. An NSF check of Marcy Co., one of Race’s customers), was returned by the bank; amount was $1,900.
d. Check no. 2422 (for insurance) was written for $1,720 but erroneously recorded in Race’s records as $1,270.
e. Deposits in transit at December 31, 2012, totaled $2,720.
f. Outstanding checks at December 31, 2012 totaled $3,700.
g. Bank credit memo of $7,160 for proceeds of note receivable collected by bank for Race on December 28, 2012. $7,000 principal and $160 interest.
h. Bank service charge for December, $280.
i. Bank debit memo for $90 for safe deposit box rental at bank.
j. Bank credit memo for $40 for interest income on Race’s account.
1. In Race’s completed bank reconciliation at December 31, 2012, what dollar amount should be deducted from the balance per bank statement [indicated by (4) above]?
a. $3,700
b. $5,600
c. $3,370
d. $4,150
e. None of the above.
2. In Race’s completed bank reconciliation at December 31, 2012, what dollar amount should be added to the balance per Race’s records [indicated by (1) above]?
f. $7,290
g. $7,740
h. $7,280
i. $7,160
j. None of the above.
3. In Race’s completed bank reconciliation at December 31, 2012, what dollar amount should be deducted from the balance per Race’s records [indicated by (2) above]?
a. $3,100
b. $2,820
c. $2,630
d. $1,100
e. None of the above.
4. In Race’s completed bank reconciliation at Decemberl 31, 2012, what dollar amount should be added to the balance per bank statement [indicated by (3) above]?
a. $2,810
b. $2,760
c. $2,910
d. $2,720
e. None of the above.
5. In Race’s journal entries to correct the Cash book balance on December 31, 2012, the entry for the NSF check would be
a. Debit Cash and credit Accounts Receivable for $1,900.
b. Debit Accounts Payable and credit Cash for $1,900.
c. Debit Accounts Receivable and credit Cash for $1,900.

Homework Answers

Answer #1
Q1.
Answer is a. 3700
Amount to be deducted from Bank Statement
Outstanding checks 3700
Q2.
Answer is f. 7290
Amount added in Books
Error in recording the check 90
Collection of notes receivable 7160
Interest income 40
Total 7290
Q3.
Answer is e. None of above
Amount deducted in Book balance
Fees deducted by bank 190
NSF check 1900
Error in recording insurance check 450
Bank service charges 280
Safe deposit rental 90
Total 2910
Q4.
Answer is d. 2720
Amount to be added in Bank Statement
Deposits in transit 2720
Q5.
Answer is c. Debit Accounts receivable and credit cassh $ 1900
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