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106 Cashbook of Shn Byal shows bunk balance of 5000 on 31/3/020. Preparea Bank Reconciliation Statement from the information given below1 A cheque of 8000 was deposited with bank on 29/3/2020, but thischeque is not credited in pansbook by bank til 31/03/20202A cheque of 6000 was sent for collection to bank on 30.3.2020which is not collected by bank ull 31/03/20203A Cheque of 3000 was issued on 28/03/2020 for payment ofelectricity bill, which is not debited by bank in passbook till31/03/2020Acheque of 2000 was drawn on 27/03/2020 and given to creditor butit is not presented for payment till 31/03/20205Interest of 80 credited in passbook by bank, which is not debited incashbook6 Bank debited 100 in passbook for bank charges which is not creditedin cashbook4​

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4) shayad yehi hoga PURA pata nai HAI ye ACCOUNTANCY KA sawal hai 12th



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