Read the following information and answer questions that
follow.
The following is a bank statement for Tamapo for the month of March
2019.
The Cash Book for March 2019 is:
Required:
a. Update the cash book
b. Draw up a bank reconciliation statement as at 31 March 2019.
2019 March 1 Balance Dr Cr Balance P. P. P 4,200.00 O/D March 8 T. MacLeod 184.00 4,384.00 O/D March 16 Cheque 292.00 4,092.00 O/D March 20 W. Milne 160.00 4,252.00 O/D March 21 Cheque 369.00 3,883.00 O/D March 31 G. Frank Trader's Credit 88.00 3,795.00 O/D 32.00 3,827.00 O/D March 31 TYF: Standing order March 31 Bank Charges 19.00 3,846.00 O/D
2019 Dr P 2019 Cr P March 16 G. Philip 292.00 March 1 Balance 4,200.00 March 21 J. Forker 369.00 March 6 T Macleod 184.00 March 31 S. O'Hare 192.00 March 30 W. Milne 160.00 March 31 Balance 4,195.00 March 30 S. Porter 504.00 5,048.00 5,048.00
Read the following information and answer questions that follow. The following is a bank statement for Tamapo for the mo
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Read the following information and answer questions that follow. The following is a bank statement for Tamapo for the mo
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