Answer:
Credit to cash for $332
Step-by-step explanation:
The information above is broken down as;
Petty cash fund = $450
Accumulated receipts for delivery expenses = $68
Merchandise inventory = $227
Miscellaneous expenses = $37
Fund balance = $118
Hence;
The journal entry to record the reimbursement of the account is;
Delivery expenses account Dr. $68
Merchandise inventory account Dr $227
Miscellaneous expenses account Dr $37
To Cash account Cr $332
(Being the recording of cash reimbursement)