The following attempt at a bank reconciliation statement has been prepared by ABC Co:
$ | |
Overdraft per bank statement | 9,650 |
Add: deposits not credited | 10,300 |
19,950 | |
Less: unpresented cheques | 825 |
Overdraft per cash book | 19,125 |
Assuming the bank statement balance of $9,650 to be correct, what should the cash book balance be?
Answer
$ | |
Overdraft | (9,650) |
Outstanding lodgements | 10,300 |
650 | |
Unpresented cheques | (825) |
Overdraft per cash book | (175) |