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Heath Company Gathered the Following Reconciling Information in Preparing Its

Question 139

Multiple Choice

Heath Company gathered the following reconciling information in preparing its July bank reconciliation:  Cash balance per books, 7/31£5,500 Deposits in transit 150 Notes receivable and interest collected by bank 850 Bank charge for check printing 20 Outstanding checks 2,000 NSF check 170\begin{array}{lr}\text { Cash balance per books, } 7 / 31 & £ 5,500 \\\text { Deposits in transit } & 150 \\\text { Notes receivable and interest collected by bank } & 850 \\\text { Bank charge for check printing } & 20 \\\text { Outstanding checks } & 2,000 \\\text { NSF check } & 170\end{array}
The adjusted cash balance per books on July 31 is


A) £6,160 £ 6,160 .
B) £6,010 £ 6,010 .
C) £4,310 £ 4,310 .
D) £4.460 £ 4.460 .

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