Solution and Explanation:
PARK VALLEY SPA
Bank Reconciliation
July 31, Year 1
Unadjusted Bank Balance, July 31, Year 1 16591
Add: Deposit in transit 3545
Less: Outstanding checks #2353 2899
Less: Outstanding checks #2356 73 (2972)
True Cash Balance, July 31, Year 1 $17164
Unadjusted Book Balance, July 31, Year 1 14,132
Add: Credit memo for collection of notes receivable 3049
Less: Debit memo for printed checks (17)
True Cash Balance, July 31, Year 1 $17164
Journal entries
1 Cash 3049
Notes receivable 3049
(For cash received on notes receivable )
2 Miscellaneous expense 17
Cash 17
(For cash paid for printed checks)