Answer: Option (A) is correct.
Step-by-step explanation:
Given that,
petty cash fund = $350
accumulated receipts for delivery expenses = $58
merchandise inventory = $187
miscellaneous expenses = $27
fund has a balance = $78
Therefore,
The journal entry for the reimbursement of the account is as follows:
Delivery expenses A/c Dr. $58
Merchandise inventory A/c Dr. $187
Miscellaneous expenses A/c Dr. $27
To Cash A/c $272
(To record petty cash reimbursement)