1. Depositing, Writing, and Endorsing Checks for a Checking Account
Total Page:16
File Type:pdf, Size:1020Kb
![1. Depositing, Writing, and Endorsing Checks for a Checking Account](http://data.docslib.org/img/73a70229c3b1f5cb85ae693df7ec3fca-1.webp)
Chapter 6 Quiz
Objectives: 1. Depositing, writing, and endorsing checks for 8. Which of the following would require a credit a checking account. memo? 2. Reconciling a bank statement. a) a deduction from the balance per books 3. Establishing and replenishing a petty cash b) an addition to the balance per bank statement fund; setting up an auxiliary petty cash record. c) a deduction from the balance per bank 4. Establishing and replenishing a change fund. statement 5. Handling transactions involving cash short d) an addition to the balance per books and over. 9. Determine the adjusted balance per bank for TRUE/FALSE Jackson Advertising on May 31, from the following information: 1. Any item listed on the bank reconciliation in the Cash balance on the bank statement $1,500 bank balance column has already been recorded Customer's check returned--NSF 275 by the business, or is an error on the bank's part, Customer's note collected by the bank 360 and does not need to be journalized by the Deposits in transit, May 31 1,980 business. Outstanding checks, May 31 2,480
2. A credit memo issued by the bank increases the a) $1,000 amount of cash in the customer’s account. b) $725 c) $1,085 3. A signature card verifies authenticity of the d) $1,500 signature on all checks written by the business. 10. A $50 petty cash fund has cash of $7 and valid 4. A petty cash voucher is completed when you are receipts for $41. The entry to replenish the fund buying a computer. would include a: a) debit to Cash for $43. 5. A change fund is used to allow the owner of the b) credit to Cash for $43. business to withdraw funds for personal use. c) debit to Petty Cash for $43. MULTIPLE CHOICE d) credit to Cash Short/Over for $2.
6. Endorsing a check: a) guarantees payment. b) transfers the right to deposit or transfer cash. c) cancels the transaction. d) All of these answers are correct.
7. The drawer has an account with the: a) drawer. b) drawee. c) payee. d) payer.
Chapter 6 TRUE/FALSE
1. ANSWER: True (L.O. 2)
2. ANSWER: True (L.O. 2)
3. ANSWER: True (L.O. 1)
4. ANSWER: False (L.O. 3)
5. ANSWER: False (L.O. 4) MULTIPLE CHOICE
6. ANSWER: b (L.O. 1)
7. ANSWER: b (L.O. 1)
8. ANSWER: d (L.O. 2)
9. ANSWER: a (L.O. 2)
10. ANSWER: b (L.O. 5)
2