
Problem No 01 Chapter No 7 - UNIMAX Class 11
14. Enter the following transactions in a simple cash book for the year December 2019:
| 2019 | Rs | |
| Dec.1 | Cash in hand | 12,000 |
| Dec.5 | Cash received from Bhanu | 4,000 |
| Dec.7 | Rent paid | 2,000 |
| De.10 | Purchases goods from Murari for cash | 6,000 |
| Dec.15 | Sold goods for cash | 9,000 |
| Dec.18 | Purchases stationery | 300 |
| Dec.22 | Cash pad to Rahul on account | 2,000 |
| Dec.28 | Paid Salary | 1,000 |
| Dec.30 | Paid Rent | 500 |
| Dr. | Cash A/C |
Cr. | |||||
| Date | Particulars |
L.F. | Amount | Date | Particulars |
L.F. | Amount |
|---|---|---|---|---|---|---|---|
| 2019 | 2018 | ||||||
| Dec.1 | To Balance b/d | 12,000 | Dec.7 | By Rent A/c | 2,000 | ||
| Dec.10 | By Purchases A/c | 6,000 | |||||
| Dec.5 | To Bhanv’s A/c | 4,000 | Dec.18 | By Stationery A/c | 300 | ||
| Dec.22 | By Rahul’s A/c | 2,000 | |||||
| Dec.15 | To Sales A/c | 9,000 | Dec.28 | By Salary A/c | 1,000 | ||
| Dec.30 | By Rent A/c | 500 | |||||
| Jan.21 | By Input SGST A/c | 180 | |||||
| Jan.20 | By Advisement A/c | 6,000 | |||||
| Jan.20 | By Input CGST A/c | 360 | |||||
| Jan.20 | By Input SGST A/c | 360 | |||||
| 25,000 | Dec.31 | By Balance C/d | 13,200 | ||||
| Jan.1 | To balance b/d | 13,200 | 25,000 | ||||
Read out the full article
Cash Book | Types of Cash Book | Subsidiary Books
Also, Check out the same article in Hindi from the following link
Cash Book | Types of Cash Book | Subsidiary Books – in Hindi
Also, Check out the solved question of all Chapters: –
Part-I
Chapter No. 1 - Introduction of Accounting
Chapter No. 2 - Theory Base of Accounting
Chapter No. 3 - Vouchers and Transactions
Chapter No. 5 - Goods and Services Tax (GST): An Introduction
Chapter No. 7 - Special Purpose Book - Cash Book
Chapter No. 8 - Other Subsidiary Books
Chapter No. 9 - Trial Balance
Chapter No. 10 - Rectification of Errors
Chapter No. 11 - Depreciation
Chapter No. 12 - Provision and Reserves
Chapter No. 13 - Bank Reconciliation Statement
Chapter No. 14 - Bills of Exchange
Students may choose only one part from the Part II and Part III
Part-II
Chapter No. 15 - Financial Statements (Without Adjustments)
Chapter No. 16 - Financial Statements (With Adjustments)
Chapter No. 17 - Accounts from Incomplete Records - Single Entry System
Part-III
Chapter No. 18 - Introduction to Computers and Accounting information System
Chapter No. 19 - Computerised Accounting
Chapter No. 20 - Accounting Software: Tally
Chapter No. 21 - Data Base System
Chapter No. 22 - Concept of Entity and Relationship
Accounting & Commerce Educator
Sarbjit Singh holds a B.Com and M.Com degree and has over 12 years of teaching experience in double entry bookkeeping, financial accounting, and business studies.
This guide covers "Problem No 01 Chapter No 7 - UNIMAX Class 11 - Solution", focusing on key definitions, step-by-step concepts, applications, and revision guidelines relevant to Chapter No. 7 Special Purpose Book - Cash Book - Unimax +1.
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