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    				| 1. | Cashbook of Shri Sudhir shows bank balance of 5000 on 31-12-2015. Prepare a bank reconciliation statement from the information given below: (1) A cheque of 8000 was deposited with bank on 29-12-2015, but this cheque is noe credited in passbook by bank till 31-12-2015,(2) A cheque of 6000 was sent for collection to bank on 30-12-2015 which is not collected by hank till 31-12-2015.(3) A cheque of 3000 was issued on 28-12-2015 for payment of electricity bill, which is netdebited by bank in passbook till 31-12-2015. (4) A cheque of 2000 was drawn on 27-12-2015 and given to creditor but it is not presentedfor payment till 31-12-2015.(5)Interest of 80 credited in passbook by bank, which is not debited in cashbook (6)Bank debited Rs 100 in passbook for bank charges, which is not credited in cashbook | 
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