The information below is from the books of the Seminole Corporation on June 30: Balance per bank 11,164 statement Receipts recorded but not yet deposited in 1340 the bank Bank charges no 16 recorded
The information below is from the books of the Seminole Corporation on June 30: Balance per bank 11,164 statement Receipts recorded but not yet deposited in 1340 the bank Bank charges no 16 recorded
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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See photo.

Transcribed Image Text:The information below is from the books
of the Seminole Corporation on June 30:
Balance per bank
11,164
statement
Receipts recorded but
1340
not yet deposited in
the bank
Bank charges no
16
recorded
Note collected by bank 1120
and not recorded on
books
Outstanding checks
1100
NSF checks - not
1600
recorded on books nor
redeposited
Assuming no errors were made, compute
the cash balance per books in June 30
before any reconciliation adjustments.

Transcribed Image Text:The cash in bank account of Smart, Inc.
for April showed an ending balance of
P129,298. Deposits in transit on April 30
was P18,200. Outstanding checks as of
April 30, were P59,435, including a P5,000
check which the bank had certified on
April 27. During the month of April, the
bank charged back NSF checks in the
amount of P3,435 of which P1,835 had
been redeposited by April 20. On April 23,
the bank charged Smart's account for a
P2,200 items which should have been
charged against Kmart, Inc., the error was
not detected by the bank. During April, the
proceeds from notes collected by the
bank for Smart, Inc. was P7,548 and bank
charges for this services was P18.
a. How much is the unadjusted balance
per bank on April 30?
b. Refer to previous question. What is the
correct cash in bank balance at April 30?
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