Problem 17: Use the following information for the next five questions: Sky Blue Corporation's bank account for May and June of 2021, were as follows: May data are as follows: Balance per bank, May 31...


Problem 17: Use the following information for the next five questions:<br>Sky Blue Corporation's bank account for May and June of 2021, were as follows:<br>May data are as follows:<br>Balance per bank, May 31<br>Balance per books, May 31<br>Deposits in transit<br>Checks outstanding<br>Bank service charge<br>10,500<br>11,864<br>1,500<br>150<br>14<br>June data are as follows:<br>Bank<br>Books<br>Receipts<br>Deposits recorded<br>Deposits received<br>Collection by bank (P2,000 noteplus interest)<br>Disbursements<br>Checks issued and recorded<br>Checks paid<br>Service charges recorded<br>Check payment for utilities erroneously<br>charge by the bank against the account<br>of Royal Blue Company on June 30<br>9,000<br>8,100<br>2,100<br>11,800<br>11,500<br>12<br>14<br>50<br>47. How much is the correct disbursements for the month of June?<br>48. How much is the correct receipts for the month of June?<br>49. How much is the correct cash balance for the month of June?<br>50. How much is the correct cash balance for the month of May?<br>51. How much is cash shortage/ (overage)?<br>52. Prepare adjusting entries, if any.<br>

Extracted text: Problem 17: Use the following information for the next five questions: Sky Blue Corporation's bank account for May and June of 2021, were as follows: May data are as follows: Balance per bank, May 31 Balance per books, May 31 Deposits in transit Checks outstanding Bank service charge 10,500 11,864 1,500 150 14 June data are as follows: Bank Books Receipts Deposits recorded Deposits received Collection by bank (P2,000 noteplus interest) Disbursements Checks issued and recorded Checks paid Service charges recorded Check payment for utilities erroneously charge by the bank against the account of Royal Blue Company on June 30 9,000 8,100 2,100 11,800 11,500 12 14 50 47. How much is the correct disbursements for the month of June? 48. How much is the correct receipts for the month of June? 49. How much is the correct cash balance for the month of June? 50. How much is the correct cash balance for the month of May? 51. How much is cash shortage/ (overage)? 52. Prepare adjusting entries, if any.

Jun 10, 2022
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