1.

Prepare Bank Reconciliation Statement of Mr. Syam on 31, March 2009 from the following details.1. On 31/3/2009 his passbook show a credit balance of Rs. 1,150 Which was different from his cash book balance.2. On comparison it was found that the cheque of Rs. 1,500 issued on 27th March was paid by the bank oh 4th April.3. Cheques amounting to Rs. 1,700 were deposited . on 28th March but in the passbook only Rs.700 was credited.4. A customer made direct deposit in the bank on 31st March amounting to Rs. 500, this was not recorded in the cash book.A discounted bill receivable of Rs. 700 was returned dishonored to the bank on 29th March. This entry was made in the cash book on 3rd April.

Answer»

Bank Reconciliation Statement of Mr. Syam as on 31/03/09

ParticularsAmountAmount
AddBalance as per pass Book1,150
Cheques deposited but not credited in the pass book1,000
Bill receivable discounted dishonoured7001,700
2,850
LessCheques issued but not cashed1500
Deposti made direct into bank and entered into cash book5002000
Balance as per cash book850



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