Sage Hill Inc.’s bank statement from Main Street Bank at August 31, 2022, gives the following information. Balance, August 1   $18,585   Bank debit memorandum:     August deposits   71,185   Safety deposit box fee   $ 40 Checks cleared in August   68,663   Service charge   65 Bank credit memorandum:       Balance, August 31   21,062   Interest earned   60         A summary of the Cash account in the ledger for August shows the following: balance, August 1, $18,885; receipts $74,185; disbursements $73,555; and balance, August 31, $19,515. Analysis reveals that the only reconciling items on the July 31 bank reconciliation were a deposit in transit for $4,815 and outstanding checks of $4,515. In addition, you determine that there was an error involving a company check drawn in August: A check for $400 to a creditor on account that cleared the bank in August was journalized and posted for $40.             Determine deposits in transit. Deposits in transit   $enter deposits it transit in dollars Determine outstanding checks. (Hint: You need to correct disbursements for the check error.) Outstanding checks   $enter outstanding checks in dollars Prepare a bank reconciliation at August 31. (List items that increase balance as per bank & books first.) SAGE HILL INC.Bank Reconciliationchoose the accounting period For the Year Ended August 31, 2022 For the Month Ended August 31, 2022 August 31, 2022 select an opening name for section one Cash balance per bank statement Outstanding checks Safety deposit box rent Interest earned Error in recording check Adjusted cash balance per bank Deposits in transit Service charge       $enter a dollar amount select between addition and deduction Add Less : select a reconciling item Adjusted cash balance per bank Error in recording check Service charge Deposits in transit Safety deposit box rent Interest earned Outstanding checks Cash balance per bank statement       enter a dollar amount           enter a subtotal of the two previous amounts select between addition and deduction Add Less : select a reconciling item Deposits in transit Service charge Error in recording check Outstanding checks Safety deposit box rent Cash balance per bank statement Interest earned Adjusted cash balance per bank       enter a dollar amount select a closing name for section one Deposits in transit Outstanding checks Interest earned Cash balance per bank statement Error in recording check Service charge Safety deposit box rent Adjusted cash balance per bank       $enter a total amount for the first section             select an opening name for section two Service charge Cash balance per books Adjusted cash balance per books Error in recording check Deposits in transit Interest earned Outstanding checks Safety deposit box rent       $enter a dollar amount select between addition and deduction Add Less : select a reconciling item Adjusted cash balance per books Interest earned Deposits in transit Outstanding checks Error in recording check Service charge Safety deposit box rent Cash balance per books       enter a dollar amount           enter a subtotal of the two previous amounts select between addition and deduction Add Less :             select a reconciling item Service charge Deposits in transit Outstanding checks Interest earned Error in recording check Cash balance per books Safety deposit box rent Adjusted cash balance per books   $enter a dollar amount       select a reconciling item Safety deposit box rent Outstanding checks Interest earned Cash balance per books Error in recording check Service charge Adjusted cash balance per books Deposits in transit   enter a dollar amount       select a reconciling item Adjusted cash balance per books Deposits in transit Outstanding checks Interest earned Error in recording check Service charge Safety deposit box rent Cash balance per books   enter a dollar amount               enter a subtotal of the three previous amounts select a closing name for section two Error in recording check Service charge Safety deposit box rent Cash balance per books Interest earned Adjusted cash balance per books Outstanding checks Deposits in transit       $enter a total amount for the second section

College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter6: Bank Accounts, Cash Funds, And Internal Controls
Section: Chapter Questions
Problem 4PA
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Sage Hill Inc.’s bank statement from Main Street Bank at August 31, 2022, gives the following information.

Balance, August 1

 

$18,585

 

Bank debit memorandum:

   

August deposits

 

71,185

 

Safety deposit box fee

 

$ 40

Checks cleared in August

 

68,663

 

Service charge

 

65

Bank credit memorandum:

     

Balance, August 31

 

21,062

  Interest earned

 

60

       


A summary of the Cash account in the ledger for August shows the following: balance, August 1, $18,885; receipts $74,185; disbursements $73,555; and balance, August 31, $19,515. Analysis reveals that the only reconciling items on the July 31 bank reconciliation were a deposit in transit for $4,815 and outstanding checks of $4,515. In addition, you determine that there was an error involving a company check drawn in August: A check for $400 to a creditor on account that cleared the bank in August was journalized and posted for $40.

 
 

 

 

 

 

Determine deposits in transit.

Deposits in transit

 

$enter deposits it transit in dollars

Determine outstanding checks. (Hint: You need to correct disbursements for the check error.)

Outstanding checks

 

$enter outstanding checks in dollars

Prepare a bank reconciliation at August 31. (List items that increase balance as per bank & books first.)

SAGE HILL INC.
Bank Reconciliation
choose the accounting period

For the Year Ended August 31, 2022 For the Month Ended August 31, 2022 August 31, 2022

select an opening name for section one

Cash balance per bank statement Outstanding checks Safety deposit box rent Interest earned Error in recording check Adjusted cash balance per bank Deposits in transit Service charge

     

$enter a dollar amount

select between addition and deduction

Add Less

:

select a reconciling item

Adjusted cash balance per bank Error in recording check Service charge Deposits in transit Safety deposit box rent Interest earned Outstanding checks Cash balance per bank statement

     

enter a dollar amount

         

enter a subtotal of the two previous amounts

select between addition and deduction

Add Less

:

select a reconciling item

Deposits in transit Service charge Error in recording check Outstanding checks Safety deposit box rent Cash balance per bank statement Interest earned Adjusted cash balance per bank

     

enter a dollar amount

select a closing name for section one

Deposits in transit Outstanding checks Interest earned Cash balance per bank statement Error in recording check Service charge Safety deposit box rent Adjusted cash balance per bank

     

$enter a total amount for the first section

           

select an opening name for section two

Service charge Cash balance per books Adjusted cash balance per books Error in recording check Deposits in transit Interest earned Outstanding checks Safety deposit box rent

     

$enter a dollar amount

select between addition and deduction

Add Less

:

select a reconciling item

Adjusted cash balance per books Interest earned Deposits in transit Outstanding checks Error in recording check Service charge Safety deposit box rent Cash balance per books

     

enter a dollar amount

         

enter a subtotal of the two previous amounts

select between addition and deduction

Add Less

:

         
 

select a reconciling item

Service charge Deposits in transit Outstanding checks Interest earned Error in recording check Cash balance per books Safety deposit box rent Adjusted cash balance per books

 

$enter a dollar amount

   
 

select a reconciling item

Safety deposit box rent Outstanding checks Interest earned Cash balance per books Error in recording check Service charge Adjusted cash balance per books Deposits in transit

 

enter a dollar amount

   
 

select a reconciling item

Adjusted cash balance per books Deposits in transit Outstanding checks Interest earned Error in recording check Service charge Safety deposit box rent Cash balance per books

 

enter a dollar amount

   
         

enter a subtotal of the three previous amounts

select a closing name for section two

Error in recording check Service charge Safety deposit box rent Cash balance per books Interest earned Adjusted cash balance per books Outstanding checks Deposits in transit

     

$enter a total amount for the second section

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