| Given Data P08-05A: |
| ELS COMPANY |
| August 31 bank reconciliation: |
| Outstanding checks: |
| | No. 5888 | $ 1,038.05 |
| | No. 5893 | $ 484.25 |
| From the September 30 bank statement: |
| September 30 Bank Statement: |
| Previous balance | | | | $ 16,800.45 |
| Total Checks and Debits | | | | $ 9,620.05 |
| Total Deposits and Credits | | | | $ 11,182.85 |
| Current Balance | | | | $ 18,363.25 |
| Checks and Debits | | | | Daily Balance |
| Date Check | Amount | | | Date | Amount |
| 09/03 5888 | 1,038.05 | | | 08/31 | 16,800.45 |
| 09/04 5902 | 731.90 | | | 09/03 | 15,762.40 |
| 09/07 5901 | 1,824.25 | | | 09/04 | 15,030.50 |
| 09/17 NSF | 588.25 | | | 09/05 | 16,134.25 |
| 09/20 5905 | 937.00 | | | 09/07 | 14,310.00 |
| 09/22 5903 | 399.10 | | | 09/12 | 16,536.90 |
| 09/22 5904 | 2,080.00 | | | 09/17 | 15,948.65 |
| 09/28 5907 | 213.85 | | | 09/20 | 15,011.65 |
| 09/29 5909 | 1,807.65 | | | 09/21 | 19,104.65 |
| | | | | 09/22 | 16,625.55 |
| | | | | 09/25 | 18,977.25 |
| Deposits and Credits | | | | 09/28 | 18,763.40 |
| Date Description | | Amount | | 09/29 | 16,955.75 |
| 09/05 Deposit | | 1,103.75 | | 09/30 | 18,363.25 |
| 09/12 Deposit | | 2,226.90 |
| 09/21 Deposit | | 4,093.00 |
| 09/25 Deposit | | 2,351.70 |
| 09/30 Interest | | 22.50 |
| 09/30 Credit memo | | 1,385.00 |
| From Els Company's Accounting Records: |
| | Cash Receipts Deposited: | | | Cash Disbursements: |
| Date | Cash Debit | | | Check No. | Cash Credit |
| Sept. 5 | 1,103.75 | | | 5901 | 1,824.25 |
| 12 | 2,226.90 | | | 5902 | 731.90 |
| 21 | 4,093.00 | | | 5903 | 399.10 |
| 25 | 2,351.70 | | | 5904 | 2,050.00 |
| 30 | 1,582.75 | | | 5905 | 937.00 |
| | 11,358.10 | | | 5906 | 859.30 |
| | | | | 5907 | 213.85 |
| | | | | 5908 | 276.00 |
| | | | | 5909 | 1,807.65 |
| | | | | | 9,099.05 |
| Cash | | | | | Acct. No. 101 |
| Date Explanation | | PR | Debit | Credit | Balance |
| Aug. 31 Balance | | | | | 15,278.15 |
| Sept. 30 Total receipts | | R12 | 11,358.10 | | 26,636.25 |
| 30 Total disbursements | | D23 | | 9,099.05 | 17,537.20 |
| Check No. 5904 for computer equipment: |
| Entered in accounting records | | | | $ 2,050.00 |
| Correct amount of check | | | | $ 2,080.00 |
| Collection of Note: |
| Credit memorandum from bank | | | | $ 1,400.00 |
| Bank collection fee | | | | $ 15.00 |
| Check figures: |
| (1) Reconciled balance | | $ 18,326.45 |
| (2) Credit Note Receivable | | $ 1,400.00 |