
Question No 28 Chapter No 5
Bank Transaction
28. Record the following transactions in the book of Rakhi:
| 2018 | |
| Mar. 1 | Cash deposited into bank Rs 40,000 |
| Mar. 4 | Personal cash deposited into business bank account Rs 60,000 |
| Mar. 10 | Cash is withdrawn from bank for personal use Rs 15,000 |
| Mar. 11 | Cash is withdrawn from bank for personal use Rs 9,900 |
| Mar. 14 | Cheque issued to Shreya Rs 14,400 |
| Mar. 18 | Cheque issued to Balbir Rs 16,000 for Salary |
| Mar. 19 | Received cheque from Amrita Rs 9,100 and deposited into the bank the same day |
| Mar. 21 | Cheque issued to Shreya returned dishonoured |
In the Books of Rakhi
| Date | Particulars |
L.F. | Debit | Credit | |
|---|---|---|---|---|---|
| 2018 | |||||
| Mar.1 | Bank A/c | Dr. | 40,000 | ||
| To Cash A/c | 40,000 | ||||
| (Being cash deposited into the bank.) | |||||
| Mar.4 | Bank A/c | Dr. | 60,000 | ||
| To Capital A/c | 60,000 | ||||
| (Being personal cash deposited into the bank ) | |||||
| Mar.10 | Drawings A/c | Dr. | 15,000 | ||
| To Bank A/c | 15,000 | ||||
| (Being cash withdrawn from bank for personal use) | |||||
| Mar.11 | Cash A/c | Dr. | 9,900 | ||
| To Bank A/c | 9,900 | ||||
| (Being cash withdrawn from bank for office use) | |||||
| Mar.14 | Shreya A/c | Dr. | 14,400 | ||
| To Bank A/c | 14,400 | ||||
| (Being cheque issued ) | |||||
| Mar.18 | Salary A/c | Dr. | 16,000 | ||
| To Bank A/c | 16,000 | ||||
| (Being salary paid by cheque) | |||||
| Mar.19 | Bank A/c | Dr. | 9,100 | ||
| To Amrita A/c | 9,100 | ||||
| (Being cheque received from Amrita) | |||||
| Mar.21 | Bank A/c | Dr. | 14,400 | ||
| To Shreya A/c | 14,400 | ||||
| (Being issued cheque dishonoured) | |||||
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Also, Check out the solved question of all Chapters: –
Chapter No. 2 - Theory Base of Accounting
Chapter No. 3 - Origin of Transactions
Chapter No. 4 - Vouchers and transactions
Chapter No. 6 - Accounting for Goods and Services Tax(GST)
Chapter No. 9 - Other Subsidiary Books
Chapter No. 10 - Journal Proper
Chapter No. 11 - Trial Balance
Chapter No. 12 - Bank Reconciliation Statement
Chapter No. 14 - Provisions and Reserves
Chapter No. 15 - Bills of Exchange
Chapter No. 16 - Rectification of Errors
Chapter No. 17 - Financial Statements - (Without Adjustments)
Chapter No. 18 - Financial Statements - (With Adjustments)
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.
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