Question: CALCULATOR FULL SCREEN PRINTER VERSION MACK NE Brief Exercise 7-13 At July 31, Grouper Lid. has the following bank information cash balance per bank HK$76,489,

CALCULATOR FULL SCREEN PRINTER VERSION MACK NE Brief Exercise 7-13 At July 31, Grouper Lid. has the following bank information cash balance per bank HK$76,489, outstanding checks HK$7,050, deposits in transit HK$15,621, and a bank service charge HK$248. Determine the adjusted cash balance per bank at July 31. The adjusted cash balance per bank SHOW SOLUTION SHOW ANSWER LINE TO TEXT Question Attamne n ad Brief Exercise 7-14 At August 31, Indigo SA has a cash balance per books of 8,533 and the following additional data from the bank statement: charge for printing Indigo SA checks C48, interest earned on checking account balance C63, and outstanding checks C889. Determine the adjusted cash balance per books at August 31 The adjusted cash balance per books
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