Answer:
adjusted cash balance = $16725
Step-by-step explanation:
given data
Cash balance per books = $12000
Notes receivable = 6,000
Outstanding checks = 9,000
Deposits in transit = 4,500
Bank service charge = 75
NSF check = 1,200
to find out
determine the adjusted cash balance
solution
we get here adjusted cash balance will be as
adjusted cash balance = Cash balance per books + Notes receivable - Bank service charge - NSF check ...............1
put here value
adjusted cash balance = $12000 + $6000 - $75 - $1200
adjusted cash balance = $16725