Title: Information to calculate the adjusted cash balance for Sue's Company is as follows:Cash balance per ... Post by: majestico on Jun 6, 2017 Information to calculate the adjusted cash balance for Sue's Company is as follows:
Cash balance per general ledger $2,100 Customer's check returnedNSF 75 Bank service charges 40 Deposits in transit 500 Outstanding checks 700 Customer's note collected by bank 645 A) $2,430 B) $2,230 C) $2,330 D) $2,630 Title: Re: Information to calculate the adjusted cash balance for Sue's Company is as follows:Cash balance ... Post by: Ompa on Jun 6, 2017 Content hidden
Title: Re: Information to calculate the adjusted cash balance for Sue's Company is as follows:Cash balance ... Post by: ROXANR1 on Nov 9, 2019 Thanks!
Title: Re: Information to calculate the adjusted cash balance for Sue's Company is as follows:Cash balance ... Post by: Czenial on Dec 17, 2019 Plz thx
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