Problem 3-5 (ACP) Efficient Company showed the following information: Cash in bank balance, March 31 Book credits for April Book debits for April 200,000 720,000 800,000 Bank statement balance, March...


Problem 3-5 (ACP)<br>Efficient Company showed the following information:<br>Cash in bank balance, March 31<br>Book credits for April<br>Book debits for April<br>200,000<br>720,000<br>800,000<br>Bank statement balance, March 31<br>Bank debits<br>Bank credits<br>330,000<br>530,000<br>700,000<br>Note collected by bank:<br>March<br>60,000<br>100,000<br>April<br>Service charge:<br>8,000<br>2,000<br>March<br>April<br>NSF check:<br>March<br>20,000<br>30,000<br>April<br>Deposit in transit:<br>March 31<br>80,000<br>220,000<br>April 30<br>Outstanding checks:<br>March 31<br>178,000<br>372,000<br>April 30<br>Required:<br>Prepare a proof of cash for the month of April following the<br>

Extracted text: Problem 3-5 (ACP) Efficient Company showed the following information: Cash in bank balance, March 31 Book credits for April Book debits for April 200,000 720,000 800,000 Bank statement balance, March 31 Bank debits Bank credits 330,000 530,000 700,000 Note collected by bank: March 60,000 100,000 April Service charge: 8,000 2,000 March April NSF check: March 20,000 30,000 April Deposit in transit: March 31 80,000 220,000 April 30 Outstanding checks: March 31 178,000 372,000 April 30 Required: Prepare a proof of cash for the month of April following the "book to bank" method.

Jun 11, 2022
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