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The payee is the person to whom the check is payable.

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All checks are required to have a preprinted check number.

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Citizen Bank sent a bank statement to Bane Co. showing an ending balance of $1,480. On the bank statement there was a service charge of $20. The bookkeeper of Bane Co. noticed in the reconciliation process a deposit in transit of $200 along with checks outstanding of $300. Complete the reconciliation for Bane assuming a beginning balance of $1,400.


A) $1,830.00
B) $1,138.00
C) $1,380.00
D) $1,803.00
E) None of these

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The bank statement of Ali Co. indicated a current balance of $32,900.10. The current checkbook balance indicated a balance of $34,509.11. In the reconciliation process a deposit in transit for $6,821.11 was discovered. Check number 600 for $3,988.33 was outstanding. The statement also revealed an NSF of $110.11 along with interest earned by Ali of $1,333.88. The reconciled balance is:


A) $35,237.88
B) $34,237.88
C) $35,723.88
D) $35,732.88
E) None of these

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Norm's concrete company had the following activity on its bank statement last month:

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Electronic funds transfer does not use paper checks.

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The bank statement for Mat Co. revealed a balance of $900, and the checkbook balance showed $1,420. Checks outstanding totaled $35. A check printing charge for $5 was on the bank statement. There was a $50 NSF shown on the bank statement. There was a $500 deposit in transit. What is the reconciled balance?


A) $1,045
B) $1,095
C) $1,040
D) $1,545
E) None of these

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On DeC. 31 the checkbook balance of Rose Co. was $755.09. The bank statement balance was $602.05. Checks outstanding were $249.54. The statement revealed a deposit in transit of $401.95 as well as a bank service charge of $13.05. The company earned interest income of $12.42. Complete a bank reconciliation for Rose Co.

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From the following, prepare a bank reconciliation for the J. Company: Service charge $10 Checks outstanding $730 NSF $100 Deposits in transit $1,040 Checkbook balance $2,000 Bank balance $1,580

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On DeC. 31 the checkbook balance of Aster Co. was $1,241.05. The bank statement balance was $1,510. Checks outstanding were $3,052.03. The statement revealed a deposit in transit of $2,800.10 as well as a bank service charge of $12.03. The company earned interest income of $29.05. Complete a bank reconciliation for Aster Co.

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Timing plays no role in differences between reconciling checkbook balances and bank balances.

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A reconciled balance is found on the front side of a bank statement.

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Sandi's checking account had a balance of $4627.36; her bank statement's balance was $10,275.46. A service fee of $37.00 also appeared on her statement. What was the total of all outstanding checks?


A) $10,238.48
B) $5,685.10
C) $5,611.11
D) $6,115.10
E) None of the above

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The process of analyzing the differences between the bank statement balance and the checkbook balance is:


A) Checks outstanding
B) Bank audit
C) Deposits in transit
D) Bank reconciliation
E) None of these

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Mobile banking is increasing today.

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Electronic funds transfer:


A) Uses paper checks
B) Uses some paper checks
C) Does not use paper checks
D) Is a manual transfer system
E) None of these

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On November 1, 200x, Broom Company received a bank statement that showed a $2,950 balance. Broom showed a $4,010 checking account balance. The bank did not return check number 124 for $1,080 and check number 138 for $720. A $3,200 deposit made on October 30 was in transit. The bank charged Broom $12 for check printing and $18 for an NSF check. Broom forgot to record a $30 withdrawal at the ATM. The bank also collected a $400 note for Broom. Prepare bank reconciliation.

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Photocopies of the front and back of canceled checks are acceptable evidence of payment for courts as well as IRS audits.

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A full endorsement is as safe as the restrictive endorsement.

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Jodie has a checkbook balance of $733.17; she wrote a check payable to Finney's Gym for $24.99 on June 1 and another check for $382.77 payable to Ford Credit on June 10. On June 28, her payroll check from Maryville College for $2,210.54 was deposited electronically. What was her balance on June 28?

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