In september deposits per the bank statement totaled 38600


Question - There cash records for Barry Company show the following:

1. In September, deposits per the bank statement totaled $38,600;  deposits per books $39,000; and deposits in transit at September 30 were $4,600.

2. In September, cash disbursements per books were $36,500; checks clearing the bank were $39,800; and outstanding checks at September 30 were $3,100

There were no bank debit or credit memoranda and no errors were made by either the bank or Barry Company

What were the deposits in transit at August 31?

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Accounting Basics: In september deposits per the bank statement totaled 38600
Reference No:- TGS02527237

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