Reference no: EM132882214
Problem - Bank Reconciliation - The following information is extracted from the bank statement and the accounting records of Sun Corporation for the month of July, 2019:
Cash balance from books, July 31 $1,967.35
Cash balance from bank, July 31 1,980.20
NSF check returned by bank with bank statement 81.00
Note collected by bank on July 31 190.00
Interest on preceding note 5.50
Bank service charge for July 4.40
Outstanding checks at end of July 150.00
Deposit in transit at end of July 247.25
Required -
1. Prepare a bank reconciliation for Sun on July 31, 2019.
2. Prepare the journal entries necessary to adjust Sun's books on July 31, 2019.