
Question No 13 Chapter No 16 Dishonour of the Bill 13. Ram draws a bill for 2,000 on Shyam on 15th September 2017 for 3 months. On maturity, Shyam failed to honour the bill. Pass the necessary Journal entries in Read More …
Question No 13 Chapter No 16 Dishonour of the Bill 13. Ram draws a bill for 2,000 on Shyam on 15th September 2017 for 3 months. On maturity, Shyam failed to honour the bill. Pass the necessary Journal entries in Read More …
Question No 38 Chapter No 12 38. From the following extracts from the cash book and passbook for the month of January 2018, prepare Bank Reconciliation Statement: Dr. Cashbook adjustment Cr. Date Particulars J.F. Amount Date Particulars J.F. Amount 2018 Read More …
Question No 37 Chapter No 12 37. From the following particular, find out corrected bank balance as per cash book and thereafter prepare a Bank Reconciliation Statement as on 31st March 2018 of sole proprietor Bank overdraft as per cash Read More …
Question No 36 Chapter No 12 Preparation of Bank Reconciliation statement corrected or Adjusted cash book balance 36. From the following particular, ascertain the bank balance as per pass book as on 31st March 2018(a) without correcting the cash book Read More …
Question No 35 Chapter No 12 35. Mohan & Co., have two bank account –Account No.I and Account no.II from the following particular relating to account no.1, find out the balance on that account as on 31st March 2018 according Read More …
Question No 34 Chapter No 12 34. From the following information supplied by Sanjay, prepare his bank Reconciliation Statement as on 31St March,2018.\ Debit balance is shown by passbook Rs 17,800 Cheque of Rs 21,600 was issued in the last Read More …
Question No 33 Chapter No 12 33. From the following information supplied by Sanjay, prepare his bank Reconciliation Statement as on 31St March 2018. Bank overdraft as per pass book Rs 16,500 Cheque issued but not presented for payment Rs Read More …
Question No 32 Chapter No 12 32. Bank passbook of Mr X showed an overdraft of Rs 33,575 on 31st March 2018. on going through the passbook the accounting found the following\ A cheque of Rs 1,080 credited in the Read More …
Question No 31 Chapter No 12 31. Prepare bank reconciliation statement from the following particulars and show balance as per cash book: Balance as per cash book on 31st March 2018 overdrawn Rs 10,000 The cheque is drawn in the Read More …
Question No 30 Chapter No 12 30. Prepare Bank Reconciliation Statement as on 31st March 2018 from the following particulars: R’s overdraft as per pass book Rs 12,000 as on 31st March. On 30th March, the cheque had been issued Read More …