I need some help with this Accounting Test.

Document Preview:

GLICKMAN – ACC111 End of Chapter 8 Test – (40 points) Name: _______________________________________ Please show all calculations!!! PROBLEM #1 – 22 points Greenview Food Store developed the following information in recording its bank statement for the month of March 20XX. Balance per books on March 31 $ 829 Balance per bank on March 31 $ 7,030 Checks written in March but still outstanding, $5,200. Checks written in February but still outstanding, $1,200. Deposits of March 30 and 31 not yet recorded by bank, $3,100. NSF check of customer returned by bank, $400. Check #210 for $675 was correctly issued and paid by the bank but incorrectly entered in the cash payments journal as payment on account for $657, for payment to a creditor. Bank service charge for March was $31. A payment on account was incorrectly entered into the cash payments journal and posted to the accounts payable subsidiary ledger for $854 when check #318 was correctly prepared for $584. The check cleared the bank in March. The bank collected a note receivable for the company for $3,000 plus $80 interest. Instructions: Prepare a bank reconciliation for the Greenview Food Store for the month of March 31, 20XX. Journalize the adjusting entries for Greenview Food Store on March 31, 20XX. Bank Reconciliation: Journal Entries: General Journal Date Description Debit Credit PROBLEM #2 – 18 points Jenrob Company completed the following selected transactions during January 20XX. January 1 Established a petty cash fund of $500 15 The cash sales for the day per the register tape were $3,018. The actual cash received from cash sales were $3,011. 31 Petty cash on hand was $123. Replenished the petty cash fund for the following disbursements: Jan 2 Office supplies, $45 10 Postage due on letter, $29 (Miscellaneous Expense) 14 Office supplies, $56. 17 Postage stamps, $42 (Office Supplies). 20 Express charges on merchandise sold, $136 (Delivery…