Information from the bank reconciliation statement at 28 February 2014. Outstanding cheques; No. 587 842 845 Outstanding deposit a) BANK ACCOUNT FOR MARCH 2014 Details Amount Cheque 1 Balance b/f 70 200 5 Sales 848 3 849 6 Tr 1 8 851 16 8 20 100 1 500 17 000 Receivable Els 12 Sales 18 Sales 25 200 852 23 26 Receivable Goosen 3 600 853 28 31 Sales 14 000 854 28 151 600 CITY BANK BANK STATEMENT FOR MARCH 2014 May 1 1 Details Rent expense Repairs Loan Purchases Telephone Salaries Payable Botha 2014 Debit R Credit R 860 1 100 18 400 2 500 6 1 000 46 000 1900 350 25 12 000 R Opening balance Deposit X342 2 Hisway Insurance - Debit order 5 Deposit X343 6 Cheque 842 Cheque 848 6 8 E Els 8 Instalment: Loan 12 Deposit X344 12 Cash fee 13 Direct deposit- Mary 18 Deposit X345 19 Cheque 1056 20 Cheque 851 21 Cheque R/D 26 R Goosen 25 Services fee 26 Internet banking fee Interest 26 29 Cheque 853 Closing balance 31 -2- QUESTION 1 - CONTINUED ADDITIONAL INFORMATION: · Cheque no. 587 was drawn on 3 September 2013 to pay Payable John. A debit order was signed for the monthly insurance from Hisway Insurance. Cheque no. 1056 was not drawn by Hayabusa Entity. . According to the cheque stub of cheque 851 the amount is R46 000. · The cheque returned by the bank on 21 March was a donation received in February 2014. According to the deposit slip, the correct amount for the deposit on 18 March was R25 200. . Receivable Mary deposited the amount of R4 500 owed by him directly into Hayabusa's bank account. REQUIRED: (a) Complete the bank account for March 2014 by starting with the totals given. (10) (b) Prepare the bank reconciliation statement as at 31 March 2014. (10) 569 20 100 1 500 17 000 4 500 22 500 3 600 45 800 1 100 320 569 Amount 18 400 350 2 500 44 000 4 200 12 000 5 600 87 050 Balance R 70 851 71 420 70 560 90 660 89 560 71 160 72 660 70 160 87 160 87 154 91 654 114 154 113 154 68 154 66 254 69 854 69 504 69 479 69 524 57 524 57 524