Question The following information is related to the bank reconciliation of the Acme Company: Balance per bank statement$1,951.20 Balance per ledger1,869.60
Question
The following information is related to the bank reconciliation of the Acme Company:
Balance
per bank statement$1,951.20
Balance per ledger1,869.60
Deposits in transit271.20
Outstanding checks427.80
NSF check61.20
Service charges13.80
The adjusted/correct cash balance is _______________.
Question 30 options:
$1,794.60
$1,719.60
$1,638.00
$1,713.00
$1,876.20
Looking for a Similar Assignment? Order now and Get 10% Discount! Use Coupon Code "Newclient"
