Reconciling the Check Register Balance - PowerPoint PPT Presentation

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Reconciling the Check Register Balance

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A bank charge or deduction for handling a checking account ... Ann Oster's checkbook balance on May 31 was $873.09. Her May 31 bank statement ... – PowerPoint PPT presentation

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Title: Reconciling the Check Register Balance


1
Reconciling the Check Register Balance
  • 1-6

2
Bank Statement
  • A periodic report to a depositor showing
    deposits, payments, charges, and the balance in a
    checking account

3
Example
  • See page 26
  • Checks paid
  • Deposits received
  • Service charges
  • Interest earned
  • Running balance

4
Service Charge
  • A bank charge or deduction for handling a
    checking account
  • Examples ATM transactions, minimum balances,
    dormant accounts, withdrawals

5
Canceled Check
  • A check that has been marked paid by the bank

6
Outstanding Checks
  • Checks issued but not yet received and paid by
    the bank

7
Reconciliation
  • The process of bringing the checkbook balance and
    bank balance into agreement

8
Reconciliation Statement
  • A form showing how the checkbook and bank
    statement balances are made to agree
  • See handout

9
Example
  • Use the reconciliation statement handout to
    complete the following
  • Ann Osters checkbook balance on May 31 was
    873.09. Her May 31 bank statement showed a
    balance of 1378.49. Checks outstanding were
    806 for 326.11, 808 for 97.56, and 809 for
    82.03. The bank service charge for May was
    5.75 and the interest earned was 5.45.

10
Homework
  • Page 29
  • 5, 7
  • Note You will need two bank reconciliation
    statement sheets
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