Question No 26 Chapter No 11

Question No 26 Chapter No 11

26. On 31st March 2019 the bank column of the Cash Book of Mr. Rajesh showed a debit balance of 5,200. On examining the Pass Book you find that:
(i) Cheques of 20,000 were sent to the bank for collection; Out of these cheques of 4,000 and of 5,000 were credited respectively on 5th April and 6th April respectively and the remaining cheques were credited before 31st March.
(ii) A cheque for 7,500 received from a customer although entered in the bank column of the Cash Book, was omitted to be paid into the bank.
(iii) Cheques drawn for 25,000 were not presented for payment.
(iv) Credit side of the bank column of the Cash Book was overcast by 100.
(v) A B/P for 3,600 has been paid by the bank, but not yet recorded in the Cash Book.
(vi) No entry has been made in the Cash Book to record the dishonor on 28th March 2019, of a cheque for 5,400 received from a customer.
(vii) A cheque for 2,500 issued to a creditor was wrongly entered in the cash column of the Cash Book.
(viii) In the Cash Book, bank charges of 200 were entered twice while another bank charge of 500 was not recorded at all.
You are required to show the necessary corrections in the Cash Book and to prepare a statement reconciling the amended cash balance with that shown in the bank Pass Book.

The solution of Question No 26 Chapter No 11: –

Dr.Adjusted Cash Book (Bank Column only) as of March 31, 2019
Cr.
DateParticulars
J.F.AmountDateParticulars
J.F.Amount
 Balance b/d 5,200(v)Bills Payable A/c 3,600
(iv)Credit side overcasted 100(vi)Customer A/c (Dishonour of Cheque) 5,400
(viii)Bank Charges A/c (entered twice) 200(vii)Supplier’s A/c (Cheque issued recorded in casach column) 2,500
    (viii)Bank Charges A/c 500
 To Balance c/d 6,500    
   12,000   12,000
Bank Reconciliation Statement
ParticularPlus Items (Rs)
Minus Items(Rs)
Credit Balance (Overdraft) as per Amended Cash Book 6,500
Add: (iii) Cheque issued but not presented for payment25,000 
Less: (i) Cheques deposited but not credited 9,000
(ii) Cheque recorded in cash book but not sent to bank 7,500
Debit Balance(overdraft) as per Pass Book 2,000
 25,00025,000

Bank Reconciliation Statement | Process | Illustration |

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D K Goel – New ISC Accountancy -(Class 11 – ICSE)- Solution

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