Carol Stokke receives her April 6 bank statement showing a b
Carol Stokke receives her April 6 bank statement showing a balance of $1,089.25 her checkbook balance is $1,013.25. The bank statement shows an ATM charge of $26.30, NSF fee of $27.50, earned interest of $2.85, and Carol’s $783.65 refund check, which was processed by the IRS and deposited to her account. Carol has two checks that have not cleared—No. 115 for $531.35 and No. 116 for $248.50. There is also a deposit in transit for $1,436.55.
Prepare Carol\'s bank reconciliation.(Input all amounts as positive values. Round your answers to 2 decimal places.)
Solution
Carol\'s Bank reconciliation
Carol\'s Checkbook balance
$1,013.25
Bank balance
$1,089.25
Add
Add
Check no.115
$531.35
ATM Charge
$26.30
Check no.116
$248.50
NSF Fees
$27.50
Interest
$2.85
Deposit in transit
$1,436.55
Refund check
$783.65
$1,566.35
$1,490.35
$2,579.60
$2,579.60
Deduct
Deduct
ATM Charge
$26.30
Check no.115
$531.35
NSF Fees
$27.50
Check no.116
$248.50
Deposit in transit
$1,436.55
Interest
$2.85
$1,490.35
Refund check
$783.65
$1,566.35
Reconciled balance
$1,089.25
Reconciled balance
$1,013.25
| Carol\'s Bank reconciliation | ||||||
| Carol\'s Checkbook balance | $1,013.25 | Bank balance | $1,089.25 | |||
| Add | Add | |||||
| Check no.115 | $531.35 | ATM Charge | $26.30 | |||
| Check no.116 | $248.50 | NSF Fees | $27.50 | |||
| Interest | $2.85 | Deposit in transit | $1,436.55 | |||
| Refund check | $783.65 | $1,566.35 | $1,490.35 | |||
| $2,579.60 | $2,579.60 | |||||
| Deduct | Deduct | |||||
| ATM Charge | $26.30 | Check no.115 | $531.35 | |||
| NSF Fees | $27.50 | Check no.116 | $248.50 | |||
| Deposit in transit | $1,436.55 | Interest | $2.85 | |||
| $1,490.35 | Refund check | $783.65 | $1,566.35 | |||
| Reconciled balance | $1,089.25 | Reconciled balance | $1,013.25 | |||

