Question No 03 Chapter No 8 – USHA Publication 11 Class

Question No 03 Chapter No 8
Q-03 - CH-8 - USHA +1 Book 2020 - Solution

Question No 03 Chapter No 8

03. Enter the following transactions in a simple cash book of Asha Bhonsle :

2018  
Mar.1 Cash at office Rs 50,000
Mar.1 Goods purchased for cash Rs 12,000 plus 6% CGST and SGST
Mar.6 Paid electricity bill Rs 9,500
Mar.11 Goods sold for cash Rs 35,000 plus 6% CGST and SGST
Mar.16 Cash received from Manna Dey Rs 16,000
Mar. 21 Telephone bill paid RS 10,000plus 9% CGST and SGST
Mar. 26 Rent received Rs 12,000 plus 9% CGST and SGST
Mar.31 Purchased furniture for Rs 15,000 plus 18% IGST

The solution of Question No 03 Chapter No 8: –

Dr. In the Books of Asha Bhonsle
Cash Book
Cr.
Date Particulars
L.F. Amount Date Particulars
L.F. Amount
2018       2018      
Mar.1 To Balance b/d   50,000 Mar.1 By Purchases A/c   12,000
Mar.11 To Sale A/c   35,000 Mar.1 By Input CGST A/c   720
Mar.11 To Output CGST A/c   2,100 Mar.1 By Input SGST A/c   720
Mar.11 To Output SGST A/c   2,100 Mar.6 By Electricity bill A/c   9,500
Mar.16 To Manna Dey A/c   16,000 Mar.21 By Telephone bill A/c   10,000
Mar.26 To Rent received A/c   12,000 Mar.21 By Input CGST A/c   900
Mar.26 To Output CGST A/c   1,080 Mar.21 By Input SGST A/c   900
Mar.26 To Output SGST A/c   1,080 Mar.31 By Furniture A/c   15,000
        Mar.31 By Input IGST A/c   2,700
        Mar.31 By Balance C/d   66,920
      1,19,360       1,19,360

 

Cash Book | Types of Cash Book | Subsidiary Books

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Also, Check out the solved question of all Chapters: –

Usha Publication – Elements of Book-Keeping PSEB (Class 11) – Solution

Chapter No. 1 – Introduction

Chapter No. 2 – Theory Base of Accounting 

Chapter No. 3 – Origin of Transactions

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Chapter No. 4 – Vouchers and transactions

Chapter No. 5 – Journal

Chapter No. 6 – Accounting for Goods and Services Tax(GST)

Chapter No. 7 – Ledger

Chapter No. 8 – Cash Book

Chapter No. 9 – Other Subsidiary Books

Chapter No. 10 – Journal Proper

Chapter No. 11 – Trial Balance

Chapter No. 12 – Bank Reconciliation Statement

Chapter No. 13 – Depreciation

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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)

 

 

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