For Nos. 26-27 Iron Company has provided the following data in relation to its bank recondiliation for April 2019. From March 31 bank recondliation: Deposit in transit Outstanding checks P6,800 15,600 April 2019 data: Per Bank Per Book Balance, March 31 Deposits reflected 296,560 287,760 190,400 196,000 Checks reflected (246,800) (244,000) Note collected 80,000 Service charge (480) 319,680 Balance, April 30 239,760 The checks reflected by the bank in April includes a P6,000 check drawn by Boron Company. 26. How much is Iron's deposits in transit at April 30? a. P12,400 b. P18,000 C. P1,200 d. P5,600 27. How much is Iron's outstanding checks at April 30? a. P27,600 b. P34,400 С. P18,800 d. P24,800

Financial And Managerial Accounting
15th Edition
ISBN:9781337902663
Author:WARREN, Carl S.
Publisher:WARREN, Carl S.
Chapter7: Internal Control And Cash
Section: Chapter Questions
Problem 21E
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cam - Intermediate Accounting 1.docx
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For Nos. 26- 27
Tron Company has provided the following data in relation to its bank reconciliation for April 2019.
From March 31 bank recondliation:
Deposit in transit
Outstanding checks
P6,800
15,600
April 2019 data:
Per Bank
Per Book
Balance, March 31
Deposits reflected
296,560
190,400
287,760
196,000
Checks reflected
(246,800)
(244,000)
Note collected
80,000
Service charge
(480)
319,680
Balance, April 30
239,760
The checks reflected by the bank in April includes a P6,000 check drawn by Boron Company.
26. How much is Iron's deposits in transit at April 30?
a.
P12,400
b.
P18,000
C.
P1,200
d. P5,600
27. How much is Iron's outstanding checks at April 30?
P27,600
b.
a.
P34,400
P18,800
d. P24,800
C.
For Nos. 28-30
Page 4 / 5
The entity sold P1,500,000 of accounts receivable for cash proceeds of P1,390,000. No bad debt allowance was associated with these ac
Transcribed Image Text:cam - Intermediate Accounting 1.docx Open with Google Docs For Nos. 26- 27 Tron Company has provided the following data in relation to its bank reconciliation for April 2019. From March 31 bank recondliation: Deposit in transit Outstanding checks P6,800 15,600 April 2019 data: Per Bank Per Book Balance, March 31 Deposits reflected 296,560 190,400 287,760 196,000 Checks reflected (246,800) (244,000) Note collected 80,000 Service charge (480) 319,680 Balance, April 30 239,760 The checks reflected by the bank in April includes a P6,000 check drawn by Boron Company. 26. How much is Iron's deposits in transit at April 30? a. P12,400 b. P18,000 C. P1,200 d. P5,600 27. How much is Iron's outstanding checks at April 30? P27,600 b. a. P34,400 P18,800 d. P24,800 C. For Nos. 28-30 Page 4 / 5 The entity sold P1,500,000 of accounts receivable for cash proceeds of P1,390,000. No bad debt allowance was associated with these ac
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