Reference no: EM131162486
Question - You are attempting to determine an apparent cash shortage that you believe resulted from an employee's theft. You have assembled the following information for the month of March:
Cash balance per books, March 1 - P115,963.70
Cash receipts for March, per books - 246,475.00
Cash disbursements for March, per books - 334,709.10
Cash balance, per bank statement, March 31 - 15,341.40
Deposit in transit, March 31 - 9,000.00
Outstanding checks, March 31 - 2,703.80
Bank service charge for March - 92.00
Required: What is the amount of the suspected cash shortage?