
Question No 21 Chapter No 11 21. On 31st March 2018, Pass Book showed a balance of 25,000. Prepare a Bank Reconciliation Statement from the following particulars:(i) Cheques of 20,000 were deposited in Bank on 27th March 2017, out of Read More …
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Question No 21 Chapter No 11 21. On 31st March 2018, Pass Book showed a balance of 25,000. Prepare a Bank Reconciliation Statement from the following particulars:(i) Cheques of 20,000 were deposited in Bank on 27th March 2017, out of Read More …
Question No 20 Chapter No 11 20. On 30th June, 2020 the Pass Book of Sh. Mahabir Prashad showed a balance of 22,000. On comparing the PassBook with Cash Book the following differences were found:-1. Mahabir Prashad had paid into Read More …
Question No 19 Chapter No 11 19.On 30th June 2014 Pass Book showed a balance of 5,200. Prepare Bank Reconciliation Statement from the following particulars:-I. Out of total cheques amounting to 16,000 deposited, cheques amounting to 9,000 were credited in Read More …
Question No 18 Chapter No 11 18. Prepare Bank Reconciliation Statement from the following particulars on June 30, 2017:Bank Statement showed a favorable balance of 9,214.(a) On 29th June, the bank credited the sum of 1,650 in error.(b) Certain cheques, Read More …
Question No 17 Chapter No 11 17. From the following particulars, prepare a Bank Reconciliation Statement of Sh. Yadav on 31st December 2019:-Balance as per Pass Book on 31st December, 2014 is 11,000. Cheques for 6,200 were issued during the Read More …
Question No 16 Chapter No 11 When credit Balance(Favorable Balance ) as per Pass Book is given16. On 31st March 2015 the Pass Book shows a credit balance of 9,000. Prepare a Bank Reconciliation Statement from the following particulars:- 1. Read More …
Question No 15 Chapter No 11 15. Prepare a Bank Reconciliation Statement on 31 December 2019 from the following particulars:-(a) A’s overdraft as per Pass Book 20,000 as of 31st Dec.(b) On 30th December, cheques had been issued for 80,000, Read More …
Question No 14 Chapter No 11 14. On 31st January, 2018 the Pass Book of Shri M.L. Gupta shows a debit balance of 41,000. Prepare a bank reconciliation statement from the following particulars:-1. Cheques amounting to 15,600 were drawn on Read More …
Question No 13 Chapter No 11 13. Prepare a Bank Reconciliation Statement from the following particulars:-On 31st December 2019, I had an overdraft of 750 as shown by my Pass Book. I had issued cheques amounting to 250 of which Read More …
Question No 12 Chapter No 11 12. Prepare the Bank Reconciliation Statement from the following particulars for the period ending 31st December 2019.(a) Overdraft as per Pass Book on 31-12-2012 7,600.(b) Cheques deposited but not collected by the bank 8,560.(c) Read More …
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