Reference no: EM132854481
Question - At the end of July 2019 the cashbook summary shows a balance of $28,000.
Subsequently, the following discoveries were made:
1. The following cheques were issued by the business for $3,000, $4,000 and $7,000 respective and recorded in the cashbook however; the cheque for $4,000 was not presented to the bank until August 3, 2019.
2. A cheque for $1,000 was deposited on the 31st of July but was not credited to the bank statement until after July 31.
3. Four cheques were deposited for $10,400, $4,000, $2,000 and $6,400 respectively and recorded in the cash book. The cheque for $6,400 was credited in the bank statement on August 2, 2019.
Required - What is the balance as per bank statement?
a. A favorable balance of $31,400
b. A favorable balance of $24,600
c. A bank over draft of $24,600
d. A bank over draft of $31,400