
Question No 25 Chapter No 12 When cash book and Passbook of the different period are given 25.From the following entries in the bank column of the cash book of Krishna & Co., and the corresponding bank passbook, you are Read More …
Question No 25 Chapter No 12 When cash book and Passbook of the different period are given 25.From the following entries in the bank column of the cash book of Krishna & Co., and the corresponding bank passbook, you are Read More …
Question No 24 Chapter No 12 When cash book and Passbook of Same period is given 24. From the following entries in the bank column of the cash book of M/s Tall and Short and the corresponding bank book, you Read More …
Question No 23 Chapter No 12 Two Bank Account 23. Mohan Singh maintained two separate bank account, one with United bank of India and the other with state bank of India. On 31st December 2018, the bank balances as per Read More …
Question No 22 Chapter No 12 22. The Passbook No.1 of Harish Chander show an overdraft of Rs 10,600 on 30th June 2017. when the bank statement was received. Harish Chander found the following mistakes in it. You are required Read More …
Question No 21 Chapter No 12 21. From the following particular of Soraya Sikandar, prepare a Bank Reconciliation Statement as on March 31, 2019: Balance as per cash book Rs 15,500 Cheque totalling Rs 7,000 were issued and entered in Read More …
Question No 20 Chapter No 12 20. According to the cash book of Asha Mittal, there was a balance of Rs 1,050 in favour of 30.6.2015 in her business bank account. However, according to her bank statement, this account was Read More …
Question No 19 Chapter No 12 19. On December 31, 2017 the bank column of the cash book of Mandeep Kaur shows a debit balance of Rs 9,2220. On examination of the cash book and statement, you find that : Read More …
Question No 18 Chapter No 12 18. From the following particular o Daljeet Kaur prepare a Bank Reconciliation Statement as on March 31, 2019: Balance as per cash book on 31st March 2019 was Rs 12,000Cheque deposited in the bank Read More …
Question No 17 Chapter No 12 17. From the following particular, prepare a bank reconciliation statement of Alpha Motor Ltd. As on 30th September 2017: Overdraft on 30th September 2017 as per pass book Rs 10,000 Cheque deposited in the Read More …
Question No 16 Chapter No 12 16. Rom the following particulars, ascertain the balance that would appear in the cash book of Santosh Kumari as at December 31, 2018. Rs (i) Overdraft as per pass book (31st December Read More …