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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 ? |
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Answer» ₹ 18,820. |
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