Respuesta :
Answer:
Explanation:
Balance as per cash book = Â Â Â Â Â Â Â Â Â Â Â Â Â Â 6,650
Deduct uncleared check       (450)
Check 323 Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â (650)
Rent                         ( 1200)
Interest                        165
Titanic payment not captured     5,500
Service fee                     (100)
Total adjustment                            3,265
Adjusted balance                           9,915
Balance as per bank statement                10,665
Cash receipt                   1250
Check 325 Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â ( 450)
Check 327 Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â Â (1550) Â Â
Total adjustment                            (750)
Adjusted balance                            9,915
b)
Cash adjustment
Uncleared customer check
Debit customer = 450
Credit Cash  = 450
Advertising
Debit Advertising   650
Credit Cash        650
Rent
Debit rent          1200
Credit Cash         1200
Interest
Debit cash                  165
Credit interest expenses       165
Payment from Titanic
Debit cash           5,500
Credit Oscar          5300
Credit  Interest  exp.    200
Service fee
Credit cash           100
Debit service charges  100