The following bank reconciliation statement has been prepared by an inexperienced bookkeeper at 31 December
2005.
Bank reconciliation statement
$
Balance per bank statement (overdrawn) 38,640
Add: lodgements not credited 19,270
–––––––
57,910
Less: unpresented cheques 14,260
–––––––
Balance per cash book 43,650
–––––––
What should the final cash book balance be when all the above items have been properly dealt with?
A $43,650 overdrawn
B $33,630 overdrawn
C $5,110 overdrawn
D $72,170 overdrawn
B 38,640 + 14,260 – 19,270 = 33,630
欢迎光临 ACCA论坛 (http://bbs.accaspace.com/) | Powered by Discuz! 7.2 |