Question No 22 Chapter No 13 – Unimax Class 11
22. On 31.03.2020, the bank pass book showed a balance of ₹ 5,600 to your credit. Before that date, you have issued cheques amounting to ₹ 2,100 of which cheque wroth ₹ 900 have not been so far presented for payment. Out of cheque for ₹ 1,400 paid by you into the bank on o29.3.2020, a cheque for ₹ 800 was not yet credited in the pass book. The pass book shows a debit of ₹ 220 on account of a cheque paid in by you on 26.3.2020, being dishonourd. An amount of ₹ 100 directly paid into your bank account by a customer appears only in the pass book.
The solution of Question No 22 Chapter No 13 – Unimax Class 11:
Particulars | Details | Amount |
Balance as per pass book (Cr) | 5,600 | |
Add: 1. Cheques paid but credited by bank | 800 | |
2. A B/R dishonoured | 220 | 1,020 |
6,620 | ||
Less:1. Cheque issued but not presented | 900 | |
2. Directly paid by customer into bank | 100 | 1,000 |
Balance as per cash book | 5,620 |
It is all about Question No 22 Chapter 13 of Class 11 unimax, If you have any problem please comment below.
Read out the full article to know the meaning of Depreciation
Bank Reconciliation Statement | Process | Illustration |
Bank Reconciliation Statement | Process | Illustration |
Also, Check out the same article in Hindi from the following link
Bank Reconciliation Statement – Process – Examples – In Hindi
Also, Check out the solved question of all Chapters: –
Advanced Accountancy – Unimax Class 11 – 2021 – Solution.
Part-I
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- 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 Part II and Part III
Part-II
- 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
- 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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