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Question No 16 Chapter No 8 – USHA Publication 11 Class

Question No 16 Chapter No 8
Q-16- CH-8 - USHA +1 Book 2020 - Solution

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Question No 16 Chapter No 8

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16. From the following information, you are required to prepare non-analytical petty cash book on impress system for the month of January 2020

2020 Rs
Jan.1Amount received from the cashier1,400
Jan.2Postage paid120
Jan.3Paid for coolie charges30
Jan. 5Paid for taxi hire, CGST and SGST2.5%40
Jan.7Paid for envelops, CGST and SGST 6%50
Jan.8Paid reward to servants35
Jan.9Paid for tonga hire20
Jan.10Paid for tea served to customers (CGST and SGST 2.5%)80
Jan.12Paid for printing (CGST and SGST 6%)100
Jan.18Paid for cartage25
Jan.24Paid for miscellaneous expenses24
Jan.24Account register purchased (CGST and SGST 6%)150

The solution of Question No 16 Chapter No 8: –

Dr.Cash Book
Cash ReceivedDate
Particulars
V.N.
L.F.Amount
 2020    
1,400Jan.1To Balance b/d   
 Jan.2To Postage A/c  120
 Jan.3By Fare A/c  30
 Jan.5By Taxi fare A/c  40
 Jan.5By Input CGST  1
 Jan.5By Input SGST  1
 Jan.7By Stationary A/c  50
 Jan.7By Input CGST  3
 Jan.7By Input SGST  3
 Jan.8By Reward to Servants A/c  35
 Jan.9By Tonga hire A/c  20
 Jan.10By Referment A/c  80
 Jan.10By Input CGST  2
 Jan.10By Input SGST  2
 Jan.12By Printer A/c  100
 Jan.12By Input CGST  6
 Jan.12By Input SGST  6
 Jan.18To cartage A/c  25
 Jan.24To Miscellaneous Expenses A/c  24
 Jan.27By Stationary A/c  150
 Jan.27By Input CGST  9
 Jan.27By Input SGST  9
      
 Jan.31To Balance C/d  684
1,400    1,400

 

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 

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Chapter No. 3 – Origin of Transactions

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

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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

Chapter No. 14 – Provisions and Reserves 

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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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