Question No 07 Chapter No 7 – UNIMAX Class 11
Table of Contents
7. Record the following transactions in the two-column cash book for December 2019:
2020 | ||
Dec.1 | Started business with cash | 80,000 |
Dec.4 | Deposited in bank | 50,000 |
Dec.10 | Received cash from Rahul | 1,000 |
Dec.15 | Bought goods for cash | 8,000 |
Dec.22 | Bought goods by cheque | 10,000 |
Dec.25 | Paid to Shyam by cash | 20,000 |
Dec.30 | Drew from the bank for office use | 2,000 |
Dec.30 | Rent paid by cheque | 1,000 |
The solution of Question No 07 Chapter No 7 – UNIMAX Class 11
Dr. | Cash Book | Cr. | |||||||
Date | Particulars |
L. F. | Cash | Bank | Date | Particulars |
L. F. | Cash | Bank |
2020 | 2020 | ||||||||
Dec.1 | To Capital A/c | 80,000 | Dec.4 | By Bank A/c | C | 50,000 | |||
Dec.4 | To Cash A/c | C | 50,000 | Dec.15 | By purchases A/c | 8,000 | |||
Dec.10 | To Rahul’s A/c | 1,000 | Dec.22 | By Purchases A/c | 10,000 | ||||
Dec.30 | To Bank A/c | C | 2,000 | Dec.25 | By Shyam’s A/c | 20,000 | |||
Dec.30 | By Cash A/c | C | 2,000 | ||||||
Dec.30 | By Rent A/c | 1,000 | |||||||
Dec.30 | By balance c/d | 5,000 | 37,000 | ||||||
83,000 | 50,000 | 83,000 | 5 0,000 | ||||||
Jan.1 | To balance b/d | 5,000 | 37,000 |
Read out the full article
Cash Book | Types of Cash Book | Subsidiary Books
Also, Check out the same article in Hindi from the following link
Cash Book | Types of Cash Book | Subsidiary Books – in Hindi
Also, Check out the solved question of all Chapters: –
Advanced Accountancy – Unimax Class 11 – 2021 – Solution.
Part-I
- Chapter No. 1 – Introduction of Accounting
- Chapter No. 2 – Theory Base of Accounting
- Chapter No. 3 – Vouchers and Transactions
- Chapter No. 4 – Journal
- Chapter No. 5 – Goods and Services Tax (GST): An Introduction
- Chapter No. 6 – Ledger
- Chapter No. 7 – Special Purpose Book – Cash Book
- Chapter No. 8 – Other Subsidiary Books
- Chapter No. 9 – Trial Balance
- Chapter No. 10 – Rectification of Errors
- Chapter No. 11 – Depreciation
- Chapter No. 12 – Provision and Reserves
- Chapter No. 13 – Bank Reconciliation Statement
- Chapter No. 14 – Bills of Exchange
Students may choose only one part from the Part II and Part III
Part-II
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- Chapter No. 15 – Financial Statements (Without Adjustments)
- Chapter No. 16 – Financial Statements (With Adjustments)
- Chapter No. 17 – Accounts from Incomplete Records – Single Entry System
Part-III
- Chapter No. 18 – Introduction to Computers and Accounting information System
- Chapter No. 19 – Computerised Accounting
- Chapter No. 20 – Accounting Software: Tally
- Chapter No. 21 – Data Base System
- Chapter No. 22 – Concept of Entity and Relationship
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