This document contains the monthly reconciliation statement for the cash in bank local currency current account of the Pangasinan 3rd District Engineering Office at the Land Bank of the Philippines as of November 30, 2018 and December 31, 2018. As of November 30, 2018, the unadjusted agency and bank balances were Php 77,210,156.67 with no reconciling items. As of December 31, 2018, the unadjusted agency balance was Php 58,016,841.81 and bank balance was Php 60,458,275.77 with an outstanding checks reconciling item of Php 2,441,433.96, bringing the adjusted balances to Php 58,016,841.81.
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Add/Deduct: Bank Reconciling Items
This document contains the monthly reconciliation statement for the cash in bank local currency current account of the Pangasinan 3rd District Engineering Office at the Land Bank of the Philippines as of November 30, 2018 and December 31, 2018. As of November 30, 2018, the unadjusted agency and bank balances were Php 77,210,156.67 with no reconciling items. As of December 31, 2018, the unadjusted agency balance was Php 58,016,841.81 and bank balance was Php 60,458,275.77 with an outstanding checks reconciling item of Php 2,441,433.96, bringing the adjusted balances to Php 58,016,841.81.
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DEPARTMENT OF PUBLIC WORKS AND HIGHWAYS
Pangasinan 3rd District Engineering Office
Cash in Bank - Local Currency, Current Account LBP Account no. 3792-1000-81 Monthly Reconciliation Statement As of November 30, 2018
Particulars Agency Bank Explanatory Comment
Unadjusted Balances 77,210,156.67 77,210,156.67
Add/Deduct: Bank Reconciling Items 1. Unrecorded NCA 2. Errors which understate the bank balance 3. Lapsed NCA 4. Outstanding Checks 5. Outstanding LDDAP-ADA 6. Errors which overstates the bank balance
Add/Deduct: Agency Book
Reconciling Items 1. Unrecorded NCA 2. Cancelled Checks 3. Errors which understate the book balance 4. Lapsed NCA 5. Errors which overstates the book balance 6. Bank Charges Adjusted Balances 77,210,156.67 77,210,156.67
Prepared by: Certified Correct:
LENNIE T. BALUSCANG RIZZA G. FERNANDEZ
Accountant II Accountant III _______________ __________________ Date Date DEPARTMENT OF PUBLIC WORKS AND HIGHWAYS Pangasinan 3rd District Engineering Office Cash in Bank - Local Currency, Current Account LBP Account no. 3792-1000-81 Monthly Reconciliation Statement As of December 31, 2018
Particulars Agency Bank Explanatory Comment
Unadjusted Balances 58,016,841.81 60,458,275.77
Add/Deduct: Bank Reconciling Items 1. Unrecorded NCA 2. Errors which understate the bank balance 3. Lapsed NCA 4. Outstanding Checks 2,441,433.96 5. Outstanding LDDAP-ADA 6. Errors which overstates the bank balance
Add/Deduct: Agency Book
Reconciling Items 1. Unrecorded NCA 2. Cancelled Checks 3. Errors which understate the book balance 4. Lapsed NCA 5. Errors which overstates the book balance 6. Bank Charges Adjusted Balances 58,016,841.81 58,016,841.81
Prepared by: Certified Correct:
LENNIE T. BALUSCANG RIZZA G. FERNANDEZ
Accountant II Accountant III _______________ __________________ Date Date