Jakarta Company provided the following information at month-end:                                                               Cash in bank per bank statement            P8,000,000                                                                  Deposit in transit                P1,200,000                                                                                              Outstanding checks, including a certified check of P200,000       P1,500,000                         Amount erroneously credited by the bank to the entity's account P150,000                  Note collected by the bank for the entity, including interest of P100,000            P1,100,000 Service charge for the current month    P20,000                                                NSF checks of customers returned by bank          P 500,000                                                  Error in recording a check in the book. The correct amount as paid by the bank is P100,000 instead of P200,000 as recorded in the book P100,000.   Other related information: Saving deposit in other bank closed by BSP              P1,000,000                                               Currency and coins on hand        P900,000                                                                                     Petty cash fund          P50,000                                                                                                       Requirement:                                                          How much is the adjusted cash in bank at month-end?

Financial Accounting
14th Edition
ISBN:9781305088436
Author:Carl Warren, Jim Reeve, Jonathan Duchac
Publisher:Carl Warren, Jim Reeve, Jonathan Duchac
Chapter8: Sarbanes-oxley, Internal Control, And Cash
Section: Chapter Questions
Problem 18E
icon
Related questions
Question

Jakarta Company provided the following information at month-end:                                                              

Cash in bank per bank statement            P8,000,000                                                                 

Deposit in transit                P1,200,000                                                                                             

Outstanding checks, including a certified check of P200,000       P1,500,000                        

Amount erroneously credited by the bank to the entity's account P150,000                 

Note collected by the bank for the entity, including interest of P100,000            P1,100,000

Service charge for the current month    P20,000                                               

NSF checks of customers returned by bank          P 500,000                                               

 

Error in recording a check in the book.

The correct amount as paid by the bank is P100,000 instead of P200,000 as recorded in the book P100,000.

 

Other related information:

Saving deposit in other bank closed by BSP              P1,000,000                                              

Currency and coins on hand        P900,000                                                                                    

Petty cash fund          P50,000                                                                                                      

Requirement:                                                         

How much is the adjusted cash in bank at month-end?   

 

Expert Solution
trending now

Trending now

This is a popular solution!

steps

Step by step

Solved in 2 steps with 2 images

Blurred answer
Knowledge Booster
Bank reconciliation statement
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.
Similar questions
Recommended textbooks for you
Financial Accounting
Financial Accounting
Accounting
ISBN:
9781305088436
Author:
Carl Warren, Jim Reeve, Jonathan Duchac
Publisher:
Cengage Learning
College Accounting (Book Only): A Career Approach
College Accounting (Book Only): A Career Approach
Accounting
ISBN:
9781337280570
Author:
Scott, Cathy J.
Publisher:
South-Western College Pub
Century 21 Accounting General Journal
Century 21 Accounting General Journal
Accounting
ISBN:
9781337680059
Author:
Gilbertson
Publisher:
Cengage
Survey of Accounting (Accounting I)
Survey of Accounting (Accounting I)
Accounting
ISBN:
9781305961883
Author:
Carl Warren
Publisher:
Cengage Learning
Century 21 Accounting Multicolumn Journal
Century 21 Accounting Multicolumn Journal
Accounting
ISBN:
9781337679503
Author:
Gilbertson
Publisher:
Cengage
College Accounting, Chapters 1-27
College Accounting, Chapters 1-27
Accounting
ISBN:
9781337794756
Author:
HEINTZ, James A.
Publisher:
Cengage Learning,