Transcript
Page 1: Learning Objectives  2014 Cengage Learning. All Rights Reserved. LO4 Complete a bank statement reconciliation. LO5 Record and journalize a bank service

Lear

ning

Obj

ectiv

es

© 2014 Cengage Learning. All Rights Reserved.

LO4 Complete a bank statement reconciliation.

LO5 Record and journalize a bank service charge.

Page 2: Learning Objectives  2014 Cengage Learning. All Rights Reserved. LO4 Complete a bank statement reconciliation. LO5 Record and journalize a bank service

© 2014 Cengage Learning. All Rights Reserved.

Bank Statement

SLIDE 2

LO4

Lesson 5-2

● A report of deposits, withdrawals, and bank balances sent to a depositor by a bank is called a bank statement.

Page 3: Learning Objectives  2014 Cengage Learning. All Rights Reserved. LO4 Complete a bank statement reconciliation. LO5 Record and journalize a bank service

© 2014 Cengage Learning. All Rights Reserved.

Bank Statement Reconciliation

SLIDE 3

LO4

Lesson 5-2

BankStatementBalance

5

Adjusted Check Stub Balance4

Check Stub Balance2 Date1

ServiceCharge 3

OutstandingChecks8

Subtotal7

AdjustedBank Balance9

6 OutstandingDeposits

Compare Adjusted Balances10

Page 4: Learning Objectives  2014 Cengage Learning. All Rights Reserved. LO4 Complete a bank statement reconciliation. LO5 Record and journalize a bank service

© 2014 Cengage Learning. All Rights Reserved.

Recording a Bank Service Charge on a Check Stub

SLIDE 4

LO5

Lesson 5-2

1. Write Service Charge on the check stub under the heading Other.

1

2

3

3. Calculate and record the new subtotal on the Subtotal line.

2. Write the amount of the service charge in the amount column.

Page 5: Learning Objectives  2014 Cengage Learning. All Rights Reserved. LO4 Complete a bank statement reconciliation. LO5 Record and journalize a bank service

© 2014 Cengage Learning. All Rights Reserved.

Journalizing a Bank Service Charge

SLIDE 5

25.00Miscellaneous Expense

Cash25.00

January 31. Received bank statement showing January bank service charge, $25.00. Memorandum No. 3.

2. Write the title of the account to be debited in the Account Title column. Record the amount debited in the Debit column.

1. Write the date in the Date column.

3. On the next line, indented, write the title of the amount credited in the Account Title column. Write the credit amount in the Credit column.

4. Write the source document number in the Doc. No. column.

1 Date 4 Source DocumentDebit2

Lesson 5-2

LO5

3 Credit


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