• [单选题]13 Which of the following correctly describes the imprest system for operating petty cash?
  • 正确答案 :D
  • The exact amount of expenditure out of petty cash is reimbursed at intervals.


  • [单选题]24 Sigma’s bank statement shows an overdrawn balance of $38,600 at 30 June 2005. A check against the company’s cash book revealed the following differences:
  • 1 Bank charges of $200 have not been entered in the cash book. 2 Lodgements recorded on 30 June 2005 but credited by the bank on 2 July $14,700. 3 Cheque payments entered in cash book but not presented for payment at 30 June 2005 $27,800. 4 A cheque payment to a supplier of $4,200 charged to the account in June 2005 recorded in the cash book as a receipt. Based on this information, what was the cash book balance BEFORE any adjustments?

  • 正确答案 :A
  • $43,100 overdrawn


  • 查看原题

    推荐下载科目: 注册信贷分析师 美国注册管理会计 初级会计 注册会计师 注册资产评估师 ACCA/CAT 银行从业 中级审计师 价格鉴证师 投资分析师(CIIA)
    @2019-2026 不凡考网 www.zhukaozhuanjia.com 蜀ICP备20012290号-2