During the month of February, Hoffer Company had cash receipts of $7,500 and cash disbursements of $8,600.

During the month of February, Hoffer Company had cash receipts of $7,500 and cash disbursements of $8,600. The February 28 cash balance was $1,800. What was the January 31 beginning cash balance?
incorrect$700
$1,100
$2,900
$0
$4,300

Popular Posts