1.

prepare bank reconcilation statement from the following (a) debit balance as per cash book. 1500. (b) cheques deposited but not cleared 1000. (c) cheque issued but not presented 1500. (d) bank intrest.(e) bank charges. (f) direct deposit by coustomer​

Answer»

Answer:

DIRECT"was IGNORED because we LIMIT QUERIES to 32 words.



Discussion

No Comment Found

Related InterviewSolutions