Prepare the bank reconciliation for the king kong kam


The King Kong Kam's are a community service organization that supports a variety of charities throughout the Valley of the Sun. The following information is available to reconcile its book balance of cash with its bank statement as of April 30 of the current year.

1.After all posting is complete on April 30, the Ho's book balance of cash is $1,404.58 debit balance, but its bank balance is $2,050.00

2.Checks #124 for $150 and #126 for $200 are outstanding.

3.The April 30 a deposit of $145 was placed in the night depository after banking hours on that date, and does not appear on the bank statement.

4.A credit memorandum enclosed with the bank statement indicates that the bank collected a $500 (minus a $15 collection fee) note and $8.42 of related interest on the King Kong Kam's behalf. This transaction was not recorded by the Mesa Ho's prior to receiving the bank statement.

5.Debits on the Ho's bank statement that are not yet recorded include a $23 charge for check printing and an NSF check for $20 plus a $10 processing fee. The NSF check is dated April 16 and was included in the book balance.

Prepare the bank reconciliation for the King Kong Kam's for the month of April.

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Accounting Basics: Prepare the bank reconciliation for the king kong kam
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