1.

Ik entries in the Pass book of Kunal are as undes :Balance as on 1.3.2006 = 1 15000​

Answer»

On checking the entries in the Cash BOOK with the Pass Book, it was ... Debit Balance as per Cash Book, 1,500. Add: 1. Cheques issued but not presented for PAYMENT ... (iv) A Bill Payable for ₹ 10,000 was retired by the BANK under a rebate of ₹ 150 but the full ... Add: Cheques deposited but not credited (15,000 – 4,500).Step-by-step explanation:



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