Question: Please answer soon as possible thank you so much 8. In preparing its April 30, 2013 bank reconciliation, Pinky Company showed the following information: Balance

 Please answer soon as possible thank you so much 8. In

Please answer soon as possible thank you so much

8. In preparing its April 30, 2013 bank reconciliation, Pinky Company showed the following information: Balance per bank statement, 04/30/2013 P90,250 Deposit in transit, 04/30/2013 16,250 Customer's check returned by bank due to lack of funds 1,800 Outstanding checks, 04/30.2013 8,250 Bank Service charges for April 2012 300 Deposit of Red Company credited by bank in error 1,200 A check in payment of rent for P2,000 was recorded by the depositor as P20,000 What is the company's correct cash balance at April 30, 2013

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