The following information pertains to Cuay Corporation, whose deposits in transit totaled P49,000 at December 31, 2020: Based on the above, answer the following questions: Cuay Corporation BANK RECONCILIATION November 30, 2020 Balance per bank statement Less: Outstanding checks Check No. 4321 Check No. 4329 Check No. 4340 Check No. 4341 13. What is the total book receipts for December? 14. What is the cash balance per books on December 31, 20209 15. What is the total outstanding checks on December 31, 20209 16. What is the odjusted cash balance on November 30, 2020? 17. What is the odjusted cash balance on December 31, 2020 P 435,000 P 6.000 15,000 1.700 4.675 The cash receipts and cash payments of Detuya Company for April 2020 follow: 27,375 P 407.625 16.200 P 423,825 Total Add: Deposits in transit Balance per books CASH RECEIPTS Cash Debit P 208,700 20.350 27.950 109,350 92.700 53.000 16.850 CASH PAYMENTS Cash Credit Check No. 4113 4114 4115 4116 4117 4118 4119 4120 4121 4122 Date P 44,550 7,350 96.500 33.200 73.600 50,000 31,600 83.750 5,000 120,650 Apr. 2 CHECK REGISTER December 2020 10 Vouchers 16 22 29 30 Date Payee Check No. Discount Cash San Beda, Inc. Miriam Corporation UE Enterprises 12 PSBA Corporation 15 Payroll 16 BU, Inc. 18 New Era Company 21 UST, Inc. 22 Petty cash fund 28 Payroll Total Payable P 10,000 P 4.200 3,755 12.000 96.000 6,300 14,200 7,000 10,000 P 9,500 4.200 3,755 11,880 96,000 6,300 14,058 7.000 10.000 4342 4343 4344 4345 4346 Dec. 500 120 4347 4348 4349 4350 4351 142 Detuya Company received the following bank statement on April 30, 2020: BANK STATEMENT April 2020 P 95,550 98,000 P 260,693 Beginning balance Add: Deposits and other credits: Apr. 1 98.000 P 261,455 P 762 P 16.300 Electronic tund transter 208,700 20,350 27.950 109.350 68,400 Bank collection 92.700 4. BANK STATEMENT Page 1 of 1 BANKABLE BANK PERIOD: November 30, 2020 to December 31, 2020 No 001-43-44 Date 12 17 22 23 Balance P 435.000 451.200 436.200 426.700 422,025 471,025 466.825 480,825 477.070 381,070 371,070 273.070 272.070 273.620 Credit Description Balance last statement Cash deposit Check issued Check issued Check No. Debit 543.750 Less: Checks and other debits: P 16.200 P 44,550 69.500 45,150 Unouthorized signature Apr. 7 13 14 15 18 21 26 30 30 Dec. 4329 4342 4341 P 15,000 9,500 4.675 4. Check issued Check deposit Check issued 7.350 33,200 10,950 Electronic fund transfer 73,600 50.000 1.000 Service charge 49.000 4343 4.200 6. Check deposit 10 Check isSued 15 Encashment 22 Encashment 28 Encashment 29 Debit memo- BSC 29 Credit memo-interest 14.000 8. 4344 4346 4350 4351 3,755 96,000 10,000 98,000 1,000 335.300 P 304,000 Ending balance 1.550

College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter6: Bank Accounts, Cash Funds, And Internal Controls
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The following information pertains to Cuay Corporation, whose deposits in transit totaled P49,000
at December 31, 2020:
Based on the above, answer the following questions:
Cuay Corporation
BANK RECONCILIATION
13. What is the total book receipts for December?
14. What is the cash balance per books on December 31, 2020?
15. What is the total outstanding checks on December 31, 2020?
16. What is the adjusted cash balance on November 30, 2020?
17. What is the adjusted cash balance on December 31, 2020?
November 30, 2020
Balance per bank statement
Less: Outstanding checks
Check No. 4321
Check No. 4329
P 435,000
P 6,000
15,000
Check No. 4340
1,700
Check No. 4341
The cash receipts and cash payments of Detuya Company for April 2020 follow:
4,675
27,375
P 407,625
16,200
P 423,825
Total
Add: Deposits in transit
Balance per books
CASH RECEIPTS
CASH PAYMENTS
Date
Cash Debit
Check No.
Cash Credit
P 208,700
20,350
27,950
109,350
92,700
53,000
16,850
P 44,550
7,350
96,500
33,200
73,600
50,000
31,600
83,750
5,000
120,650
4113
Apr.
8
CHECK REGISTER
4114
December 2020
10
4115
Vouchers
16
4116
Date
Payee
Check No.
Discount
Cash
22
4117
Payable
P.
29
4118
1 San Beda, Inc.
3 Miriam Corporation
7 UE Enterprises
12 PSBA Corporation
15 Payroll
16 BU, Inc.
18 New Era Company
21 UST, Inc.
22 Petty cash fund
28 Payroll
P 10,000
4,200
3,755
12,000
96,000
6,300
14,200
7,000
10,000
98.000
P 261,455
4342
P 9,500
4,200
3,755
11,880
96,000
6,300
14,058
7,000
10,000
98,000
Dec.
500
4343
30
4119
4344
4120
4121
4122
4345
120
4346
4347
142
Detuya Company received the following bank statement on April 30, 2020:
4348
4349
4350
BANK STATEMENT
April 2020
P 95,550
Beginning balance
Add: Deposits and other credits:
Apr. 1
4351
762
P 260,693
Total
P 16,300 Electronic fund transfer
208,700
20,350
BANK STATEMENT
Page 1 of 1
BANKABLE BANK
27,950
109,350
68,400 Bank collection
92,700
12
PERIOD: November 30, 2020 to December 31, 2020
No.: 001-43-44
17
22
Check No.
Debit
Credit
Balance
543,750
Description
Balance last statement
Date
23
P 435,000
451,200
436,200
426,700
422,025
471,025
Less: Checks and other debits:
P 16,200
P 44,550
69.500
45,150 Unauthorized signature
7,350
33,200
10,950 Electronic fund transfer
73,600
50,000
1,000 Service charge
Cash deposit
1 Check issued
Check issued
Apr. 7
13
Dec.
P 15,000
9,500
4,675
4329
4
4342
14
4341
4 Check issued
5 Check deposit
6 Check issued
8 Check deposit
10 Check issued
15 Encashment
15
18
49,000
466,825
480,825
477,070
381,070
371,070
273,070
272,070
273,620
4343
4,200
21
14,000
26
3,755
96,000
10,000
98,000
1,000
4344
30
335,300
4346
30
P 304,000
4350
4351
22 Encashment
Ending balance
28 Encashment
29 Debit memo - BSC
29 Credit memo - interest
1,550
Transcribed Image Text:The following information pertains to Cuay Corporation, whose deposits in transit totaled P49,000 at December 31, 2020: Based on the above, answer the following questions: Cuay Corporation BANK RECONCILIATION 13. What is the total book receipts for December? 14. What is the cash balance per books on December 31, 2020? 15. What is the total outstanding checks on December 31, 2020? 16. What is the adjusted cash balance on November 30, 2020? 17. What is the adjusted cash balance on December 31, 2020? November 30, 2020 Balance per bank statement Less: Outstanding checks Check No. 4321 Check No. 4329 P 435,000 P 6,000 15,000 Check No. 4340 1,700 Check No. 4341 The cash receipts and cash payments of Detuya Company for April 2020 follow: 4,675 27,375 P 407,625 16,200 P 423,825 Total Add: Deposits in transit Balance per books CASH RECEIPTS CASH PAYMENTS Date Cash Debit Check No. Cash Credit P 208,700 20,350 27,950 109,350 92,700 53,000 16,850 P 44,550 7,350 96,500 33,200 73,600 50,000 31,600 83,750 5,000 120,650 4113 Apr. 8 CHECK REGISTER 4114 December 2020 10 4115 Vouchers 16 4116 Date Payee Check No. Discount Cash 22 4117 Payable P. 29 4118 1 San Beda, Inc. 3 Miriam Corporation 7 UE Enterprises 12 PSBA Corporation 15 Payroll 16 BU, Inc. 18 New Era Company 21 UST, Inc. 22 Petty cash fund 28 Payroll P 10,000 4,200 3,755 12,000 96,000 6,300 14,200 7,000 10,000 98.000 P 261,455 4342 P 9,500 4,200 3,755 11,880 96,000 6,300 14,058 7,000 10,000 98,000 Dec. 500 4343 30 4119 4344 4120 4121 4122 4345 120 4346 4347 142 Detuya Company received the following bank statement on April 30, 2020: 4348 4349 4350 BANK STATEMENT April 2020 P 95,550 Beginning balance Add: Deposits and other credits: Apr. 1 4351 762 P 260,693 Total P 16,300 Electronic fund transfer 208,700 20,350 BANK STATEMENT Page 1 of 1 BANKABLE BANK 27,950 109,350 68,400 Bank collection 92,700 12 PERIOD: November 30, 2020 to December 31, 2020 No.: 001-43-44 17 22 Check No. Debit Credit Balance 543,750 Description Balance last statement Date 23 P 435,000 451,200 436,200 426,700 422,025 471,025 Less: Checks and other debits: P 16,200 P 44,550 69.500 45,150 Unauthorized signature 7,350 33,200 10,950 Electronic fund transfer 73,600 50,000 1,000 Service charge Cash deposit 1 Check issued Check issued Apr. 7 13 Dec. P 15,000 9,500 4,675 4329 4 4342 14 4341 4 Check issued 5 Check deposit 6 Check issued 8 Check deposit 10 Check issued 15 Encashment 15 18 49,000 466,825 480,825 477,070 381,070 371,070 273,070 272,070 273,620 4343 4,200 21 14,000 26 3,755 96,000 10,000 98,000 1,000 4344 30 335,300 4346 30 P 304,000 4350 4351 22 Encashment Ending balance 28 Encashment 29 Debit memo - BSC 29 Credit memo - interest 1,550
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