Cash and Cash Equivalents
Cash and Cash Equivalents
Cash and Cash Equivalents
Cash Equivalents:
Time deposit - 30 days ₱ 500,000
Money market placement due on June 30, 2021 2,000,000
Cash and Cash Equivalents ₱ 6,700,000
Add:
Undelivered checks 100,000
Post Dated Check - Delivered 300,000
Deduct:
Window Dressing - Collection - 200,000
Cash and Cash Equivalents ₱ 6,700,000
1. What is the balance per bank on July 31?
Balance July 1 ₱ 550,000
Deposits 1,800,000
Checks processed -1,400,000
Service charge -30,000
NSF Check -120,000
Monthly payment deducted by bank from account -100,000
Balance July 31 ₱ 700,000
Deduct:
Deposit in transit 100,000
NSF Check 120,000
Service charge 30,000
Working Notes:
Total Outstanding check on June 30 ₱ 900,000
Total Outstanding check on June 31 600,000
Checks received 300,000