Shown below is the bank reconciliation for Marikina Company for November 2006: Balance per bank, Nov. 30, 2006 Add: Deposits in transit Total P150,000 24,000 174,000 Less: Outstanding checks Bank credit recorded in error Cash balance per books, Nov. 30, 2006 P28,000 38,000 P136,000 _10,000 The bank statement for December 2006 contains the following data: Total deposits Total charges, including an NSF check of P8,000 and a P110,000 wervice change of P400 96,000 All outstanding checka on November 30, 2006, including the bank credit, were cleared in the bank In December 2006. There were outstanding checks of P30,000 and deposits in transit of P38,000 on December 31, 2006.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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Prepare proof of cash

Shown below is the bank reconciliation for Marikina Company for November 2006:
Balance per bank, Nov. 30, 2006
Add: Deposits in transit
P150,000
24,000
174,000
Total
Less: Outstanding checks
P28,000
Bank credit recorded in error
Cash balance per books, Nov. 30, 2006
38,000
P136,000
10,000
The bank statement for December 2006 contains the following data:
Total deposits
Total charges, including an NSF check of P8,000 and a
ser vice charge of P400
P110,000
96,000
All outstanding checks on November 30, 2006, including the bank credit, were cleared in the bank
In December 2006.
There were outstanding checks of P30,000 and deposits in transit of P38,000 on December 31,
2006.
Transcribed Image Text:Shown below is the bank reconciliation for Marikina Company for November 2006: Balance per bank, Nov. 30, 2006 Add: Deposits in transit P150,000 24,000 174,000 Total Less: Outstanding checks P28,000 Bank credit recorded in error Cash balance per books, Nov. 30, 2006 38,000 P136,000 10,000 The bank statement for December 2006 contains the following data: Total deposits Total charges, including an NSF check of P8,000 and a ser vice charge of P400 P110,000 96,000 All outstanding checks on November 30, 2006, including the bank credit, were cleared in the bank In December 2006. There were outstanding checks of P30,000 and deposits in transit of P38,000 on December 31, 2006.
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