Cash balance per bank 5000 Outstanding checks 2200 Deposits
Cash balance per bank $5,000 Outstanding checks $2,200 Deposits in transit $1,500 Bank service charge $70
Question:
At September 30?, Adept Company has the following information available about its cash? account: LOADING...?(Click the icon the view the? information.) Determine the true cash balance per bank at September 30 and tell where it would be reported in the financial statements. Determine the true cash balance per bank at September 30. ?(Leave any unused cells? blank.) Add: Less: True cash balance at September 30 The true cash balance per bank would be reported on the ? Balance Sheet Balance Sheet and Income Statement Balance Sheet and Statement of Cash Flows Income Statement Income Statement and Statement of Cash Flows Statement of Cash Flows .
Solution
Determine the true cash balance per bank at September 30.
| Balance as per bank | 5000 |
| Add: Deposit in transit | 1500 |
| 6500 | |
| Less: Outstanding checks | -2200 |
| True cash balance as per bank | 4300 |
