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The following data have been gathered for ILIMA COMPANY to assist you in preparing the November 30, 2020, bank reconciliation: a) The November 30 bank balance was $12,000

Accounting Nov 22, 2020

The following data have been gathered for ILIMA COMPANY to assist you in preparing the November 30, 2020, bank reconciliation: a) The November 30 bank balance was $12,000. b) The bank statement included $90 of service charges. c) There was an EFT deposit of $2,700 on the bank statement for the monthly rent due from a tenant. d) Cheques #619 and #621 for $615 and $960, respectively, were not among the cancelled cheques returned with the statement e) The November 30 deposit of $13,305 did not appear on the bank statement 1) The bookkeeper had erroneously recorded a $1,500 cheque as $15,000. The cheque was written to a vendor to pay off an accounts payable. g) Included with the cancelled cheques was a cheque written by another company for $600, which was deducted from ILIMA COMPANY'S account in error. h) The bank statement included an NSF cheque written by Kuhio Company for a $1,380 payment on account. i) The cash account showed a balance of $9,600 on November 30. a) Prepare the November 30, 2020, bank reconciliation for ILIMA COMPANY.
QUESTION 1 (continued) Prepare the required adjusting journal entry(s) after preparing the bank reconciliation. (4 marks) Omit Explanations. Date Accounts Debit Credit

Expert Solution

Bank ReconciliationCash Balance$          9,600Add:EFT Deposit$          2,700Cheque Wrong Entered$        13,500Cheque #619$              615Cheque #621$              960$        17,775Less:Service Charges$                90Deposit not shown$        13,305Wrongly Deducted$              600NSF Cheques$          1,380$        15,375Bank Balance$        12,000DateAccountsDebitCreditbBank Charges$          90.00Bank  $          90.00cBank$    2,700.00Rent$    2,700.00fBank$ 13,500.00Accounts Payable$ 13,500.00hCustomer$    1,380.00Bank$    1,380.00

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