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Larson Company Gathered the Following Reconciling Information in Preparing Its

Question 191

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Larson Company gathered the following reconciling information in preparing its August bank reconciliation:  Cash balance per books, 8/31$34,800 Deposits in transit 1,200 Bank charge for check printing 160 Outstanding checks 16,000 NSF check 1,360\begin{array} { l r } \text { Cash balance per books, } 8 / 31 & \$ 34,800 \\\text { Deposits in transit } & 1,200 \\\text { Bank charge for check printing } & 160 \\\text { Outstanding checks } & 16,000 \\\text { NSF check } & 1,360\end{array} Use the following tabular analysis to determine the impact of the required adjustments to Larson's Cash account:  Larson Company gathered the following reconciling information in preparing its August bank reconciliation:  \begin{array} { l r }  \text { Cash balance per books, } 8 / 31 & \$ 34,800 \\ \text { Deposits in transit } & 1,200 \\ \text { Bank charge for check printing } & 160 \\ \text { Outstanding checks } & 16,000 \\ \text { NSF check } & 1,360 \end{array}  Use the following tabular analysis to determine the impact of the required adjustments to Larson's Cash account:   A) The adjusted balance of the Cash account is $33280. B) The adjusted balance of the Cash account is $32080. C) The adjusted balance of the Cash account is $18400. D) The adjusted balance of the Cash account is $34800.


A) The adjusted balance of the Cash account is $33280.
B) The adjusted balance of the Cash account is $32080.
C) The adjusted balance of the Cash account is $18400.
D) The adjusted balance of the Cash account is $34800.

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