Case Study #5

Marking Scheme

Bank Reconciliation Statement
 

Name:____________________________________

Please note the distribution of marks while completing your case study.

Criteria
Mark
---- Comments ----
Bank Reconciliation Statement (Adjustments to Bank balance)
/5
 
Bank Reconciliation Statement (Adjustments to Cash balance)
/5
 
Adjusting Entry (Additions to firm's cash balance)

/2

 
Adjusting Entry (Deductions from firm's cash balance)
/2
 
Total:
/14
 


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