
Question No 32 Chapter No 13 – Unimax Class 11 On 31.3.2020, the bank pass of Banerjee Traders showed a debited balance of ₹ 3,975.50, whereas the cash book showed credit balance of ₹ 6,441.50, the difference was account for Read More …
Question No 32 Chapter No 13 – Unimax Class 11 On 31.3.2020, the bank pass of Banerjee Traders showed a debited balance of ₹ 3,975.50, whereas the cash book showed credit balance of ₹ 6,441.50, the difference was account for Read More …
Question No 31 Chapter No 13 – Unimax Class 11 From the following particulars prepare a bank reconciliation statement showing the balance as per cash book on 31.12.2019: Out of cheques of ₹ 9,200 paid on 29.12.2019, ₹ 4,200 appeared Read More …
Question No 30 Chapter No 13 – Unimax Class 11 30. From the following particulars prepare a bank reconciliation statement in the books of Sh. J.P. Kansal as on 30th June 2019:1 Balance as per pass book on 30th June Read More …
Question No 29 Chapter No 13 – Unimax Class 11 29. From the following particulars, prepare a bank reconciliation statement of Alpha electronic motor private Ltd. As on 30th September, 2019:a. Overdraft on 30th September 2019 as per pass book Read More …
Question No 28 Chapter No 13 – Unimax Class 11 28. From the following particulars taken in 31st December2019from the books of Advani & Co., prepare a bank reconciliation statement to reconcile bank balance shown in the cash book with Read More …
Question No 27 Chapter No 13 – Unimax Class 11 27. the bank statement of Mr. James flint showed an overdraft to the tune of ₹ 60,400 as on 31-12-2019. The ledger account of the bank in Mr. Flint’s books Read More …
Question No 26 Chapter No 13 – Unimax Class 11 26. From the following particulars, ascertain the balance that would appear in the cash book of Boman ji as at December 31,2019. ₹ Overdraft as per pass book (on Read More …
Question No 25 Chapter No 13 – Unimax Class 11 25. prepare a bank reconciliation statement of Shri Bhandari as on December 31,2019. (1) the payment of cheque for ₹ 550 was recorded twice in the pass book. (2) withdrawal Read More …
Question No 24 Chapter No 13 – Unimax Class 11 24. On 31st December 2019, my pass book showed an overdraft of ₹ 12,500. On scrutiny, the following were noticed: (1) cheque amounting to ₹ 2,100 were paid into the Read More …
Question No 23 Chapter No 13 – Unimax Class 11 23. From the following particulars, prepare a bank reconciliation statement as on 31.12.2029:(1) bank balance as per pass book ₹ 62,000 on 31.12.2019.(2) the following cheque were paid into the Read More …