Proof of Cash Problem
Proof of Cash Problem
Problem
Problem 9-2(Sassy Company)
Sassy Company provided the ff data for the month of July:
Required:
Prepare bank reconciliation on June 30 and July 31, and adjusting entries on July 31.
Cash in Bank:
Balance June 30 1,000,000
Book debits for July including June CM
for note collected, 300,000 4,000,000
Book credits for July including June NSF
of 100,000 and service charge of 4,000 3,600,000
A.105
NO. Prepare reconciliation
450,000on July 1 and July 31.
CREDITS
B. Prepare adjusting entries on July 31.
NO.106 600,000 DEPOSIT IN TRANSIT 3,500,000
NO.108 500,000