At july 31 ramirez company has the following bank


Problem

At July 31, Ramirez Company has the following bank information: cash balance per bank $8, 270, outstanding checks $762, deposits in transit $1, 941 and a bank service charge $22. Determine the adjusted cash balance per bank at July 31.

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Accounting Basics: At july 31 ramirez company has the following bank
Reference No:- TGS02686907

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