Use the information below to answer questions

Balance as per cash book…………….N13560
Unpresented cheques…………………N5120
Uncredited lodgements……………….N2300
Dividend received not entered
in the cash book……………………N2000
Bank charges……………………….N280
Standing order payments……………..N600
Balance as per bank statement…………?

A. N14 680
B. N15 560
C. N17 500
D. N16 380

Correct Answer:

Option C – N17 500

SEE ALSO  Which of the following does not appear on the debit side of a company's profit and loss appropriation account?

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