The related data of Scott Company for the month of November: October 31 November 30 Balance per book P60,000 P50,000 Balance per bank P94,000 130,000 Book debits 200,000 Book credits 180,000 Bank debits 130,000 Bank credits 170,000 Deposit in transit 40,000 95,000 Outstanding checks 65,000 119,000 NSF check 5,000 10,000 Service charge 1,000 Note collected by bank 15,000 40,000
The related data of Scott Company for the month of November:
October 31 November 30
Balance per book P60,000 P50,000
Balance per bank P94,000 130,000
Book debits 200,000
Book credits 180,000
Bank debits 130,000
Bank credits 170,000
Deposit in transit 40,000 95,000
Outstanding checks 65,000 119,000
NSF check 5,000 10,000
Service charge 1,000
Note collected by bank 15,000 40,000
What is the amount of adjusted cash balance on November 30?
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