Forums › ACCA Forums › General ACCA Forums › Help—can someone work this for me? am busy…it is for a friend
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- July 5, 2013 at 11:56 am #133529
QUESTION 2 (25marks)
A. The bank column of the Cash Book reported a balance of £11,480 as at 31st January 2009. On comparing the entries with those in the bank statements the following have been identified:
a) £75 paid for electricity by direct debit and £30 taken by the bank as bank charges have not been recorded in the Cash Book.
b) Cheques drawn to a total amount of £4,750, in the name of suppliers, were not presented to the bank until after this date.
c) A cheque drawn for £23,500, in payment of a supplier, Zinith Ltd, has been entered in the Cash Book as £32,500.
d) Bank lodgements amounting to £3,945, did not clear until after this date.Required:
i) Identify the adjusted bank balance in the business records as at 31st January 2009. (8 marks)
ii) Prepare a bank reconciliation statement as at that date. (5 marks)July 6, 2013 at 7:24 am #133543You could have done this yourself in the time it took you to type it all out! “I am busy …. it is for a friend”
Come on! Those are such lame excuses!
Tell the truth and, maybe, I’ll have a look at it for you. Maybe 🙂
July 11, 2013 at 9:29 am #133699What is the bank statement balance with which to dovthe reconciliations with?
July 11, 2013 at 9:46 am #133701A) unajusted bal=11480
Less Direct debits:
Electricity (75)
Bank charges(30)
Add back
Tranposition error 9000Adjusted 20375
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