1.

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»

₹ 18,820.
₹20,120
₹ 25,180
₹ 26,480

Solution :Rs. 22,650 +Rs. 3,110-Rs. 6,290 -Rs. 650 =Rs. 18,820. Balance as PER 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 ADJUSTED in theCash Book. THEREFORE , Rs. 18,820 will be shown in the Balance Sheet.


Discussion

No Comment Found

Related InterviewSolutions