CompanyAccounting(FinancialAccountinginEnglish)考题.docVIP

CompanyAccounting(FinancialAccountinginEnglish)考题.doc

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CompanyAccounting(FinancialAccountinginEnglish)考题

UnitTwo:Assests 1、The Mar.31, 2011, bank statement of Kosty Co. has just arrived from the bank. The relative(相关/应) information are: The Mar.31, 2011, bank balance(余额) is $6179.73 The bank statement(对账单) includes two charges(赊购、费用) for returned(送回、返还、归还) checks from customers. One is NSF(空头支票) check with the amount of $393.8 received from Heitty Co., deposited on Mar.20. The other is a $292.55 check received from HH and deposited on Mar.21, with “Unauthorized(未被授权的、未经许可的、未被批准的) Signature(签名、签字)” imprinted(盖章、印章). The following Kosty Co.’s checksare outstanding on Mar31: Check No. Amount 818 $604.50 825 825.29 4. The bank statement has two special deposits(存款):① $1032.21,the amount of a note (票据)the bank collected from Kav. Co., on behalf of(代表)Kosty Co; and $25.29, the interest revenue Kosty Co., earned on its bank balance during March.银行已收企业未收 The bank statement lists(列示) a $9.37 subtraction(减少、扣除) for the bank service charge.(银行服务费) On Mar.31, Kosty Co.’s treasurer(会计、出纳员,财务主管) deposited $571.71, but this deposit does not appear on the bank statement. The bank statement includes a $615 deduction(扣除) for check drawn by Kosly Co., a bank error. Kosty Co.’s cash account in the bank shows a balance of $5282.32 on Mar. 31. Required: Prepare(编制) the bank reconciliation(银行存款余额调节表)for Kosty at Mar.31, 2011 Record the related(相关的、有关的) journal entries(日记账会计分录) Bank Reconciliation March 31, 2011 银行对账单 企业日记账 Bank balance $6,179.73 Book Balance $5,282.32 Add:deposit in transit 571.71 add:bank collection 1,032.21 bank error 615.00 interest revenue 25.29 less:outstanding checks 1,429.79 less:service charge 9.37 NSF 393.8 Adjusted balance

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