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The following information is available for Trinkle Company for the month of June:1. The unadjusted balance per the bank statement on June 30 was $81,5002. Deposits in transit on June 30 were $3,1503. A debit memo was included with the bank statement for a service charge of $404. A $5,611 check written in June had not been paid by the bank5. The bank statement included a $950 credit memo for the collection of a note. The principal of the note was $900, and the interest collected amounted to $50RequiredDetermine the true cash balance as of June 30. (Hint: It is not necessary to use all of the preceding items to determine the true balance.)

User Coolbreeze
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1 Answer

3 votes

Answer:

$79,039

Step-by-step explanation:

The computation of the true cash balance is shown below:

Particulars Amount

Unadjusted Balance

as Per Bank Statement on Jun 30 $81,500

Add: Deposit in Transit Jun $3,150

Les : Outstanding Check Jun30 -$5,611

True Cash Balance As on Jun 30 $79,039

We simply applied the above format so that the correct value could come

User Aaqib
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