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Following details are related to a firm's banking transactions at 31st March,2019. Balance as per bank statement ₹ 22,650 , uncleared lodgements ₹ 3,110 , unpresented cheques ₹ 6,290. Bank credit recorded twice bybank in error as ₹650. Which balance for cash at bank should appear in the Balance Sheet as at 31st March,2019 ? |
Answer» <html><body><p>₹ 18,820. <br/>₹20,120<br/>₹ 25,180<br/>₹ 26,480</p>Solution :Rs. 22,<a href="https://interviewquestions.tuteehub.com/tag/650-331163" style="font-weight:bold;" target="_blank" title="Click to know more about 650">650</a> +Rs. 3,110-Rs. 6,290 -Rs. 650 =Rs. 18,820. Balance as <a href="https://interviewquestions.tuteehub.com/tag/per-590802" style="font-weight:bold;" target="_blank" title="Click to know more about PER">PER</a> Cash Book is Rs. 18,820. In the Balalce Sheet, balances as per amended Cash Book is shown. In the case, there is not itemto be <a href="https://interviewquestions.tuteehub.com/tag/adjusted-7661905" style="font-weight:bold;" target="_blank" title="Click to know more about ADJUSTED">ADJUSTED</a> in theCash Book. <a href="https://interviewquestions.tuteehub.com/tag/therefore-706901" style="font-weight:bold;" target="_blank" title="Click to know more about THEREFORE">THEREFORE</a> , Rs. 18,820 will be shown in the Balance Sheet.</body></html> | |