Escolar Documentos
Profissional Documentos
Cultura Documentos
1
Suggested Solution:
PROBLEM NO. 2
Suggested Solution:
Current account with Real Bank P 900,000
Undeposited collection 350,000
Supplier's check for goods returned by the Corporation 60,000
Unexpended petty cash 5,000
Current account with Piggy Bank (P410,000 - P300,000) 110,000
Total P1,425,000
PROBLEM NO. 3
Suggested Solution:
Demand deposit account as adjusted:
Demand deposit account per books P2,000,000
Undelivered check 200,000
Postdated check issued 100,000
Window dressing of collection (400,000) P1,900,000
Time deposit - 30 days 1,000,000
Petty cash fund 10,000
Cash and cash equivalents P2,910,000
PROBLEM NO. 4
Suggested Solution:
PROBLEM NO. 5
Suggested Solution:
Beginning Ending
June 30 Receipts Disb. July 31
Balance per bank
statement P107,082 P249,108a P218,373 P137,817
Deposits in transit:
June 30 8,201 (8,201)
July 31 12,880 12,880
Outstanding checks:
June 30 (27,718) (27,718)
July 31 30,112 (30,112)
NSF check
redeposited (8,250) (8,250)
Adjusted bank
balance P 87,565 P245,537 P212,517 P120,585
PROBLEM NO. 6