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S.Inc.had the following bank reconciliation at March 31.2004: Balance per bank statement.3/31/04 Add:deposit in transit Less:outstanding checks Balance per book.3/31/04 Date per bank for the month of April 2004 follow: deposit disbursements All reconciling items at March 31.2004 cleared the bank in April. Outstanding checks at April 30.2004 totaled $2000.There were no deposit in transit at April 30.2004.the cash balance per books at April 30.2004 is $____. 答案:Balance per bank statement 4/30.2004=37200+43000-42200 =38000 Balance per books 4/30.2004=38000-2000=36000 這題答案我看不太懂在寫啥..銀行期末餘額不是就等於帳上餘額嗎? 為什麼會有38000-2000=36000的答案阿@@" 有請高手指導了!!!拜託了感恩!!! -- ※ 發信站: 批踢踢實業坊(ptt.cc) ◆ From: 114.37.54.40 ※ 編輯: willie1987 來自: 114.37.54.40 (03/12 01:04)
cle031:2000是未兌現支票喔 帳上已經扣 銀行還沒扣 03/12 01:07
willie1987:還是不太懂為什麼最後兩邊餘額不一樣@@" 03/12 01:44