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Question No 38 Chapter No 11 38. Raghav & Co. have two bank accounts, Account No. I and Account No. II. From the following particulars relating to Account No. I, find out the balance on that account on December 31, Read More …
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Question No 38 Chapter No 11 38. Raghav & Co. have two bank accounts, Account No. I and Account No. II. From the following particulars relating to Account No. I, find out the balance on that account on December 31, Read More …
Question No 37 Chapter No 11 37. From the following particulars prepare bank reconciliation statement as on 31st March 2015:(a) Debit balance as per Cash Book 1,500.(b) A cheque for 2,000 issued in favor of X has not been presented Read More …
Question No 36 Chapter No 11 36. Prepare a Bank Reconciliation Statement from the following particulars as on 31st March 2020:(i) Cheques were deposited into bank on 25th March for 20,000. Out of these cheques for 8,000 were cleared on Read More …
Question No 35 Chapter No 11 35. On 31st March, 2020 the Pass Book of Mr. Janaki Dass showed a credit balance of 20,600. Prepare a Bank Reconciliation Statement from the following information:(i) Cheques amounting to 15,000 were drawn in Read More …
Question No 34 Chapter No 11 34. Prepare a Bank Reconciliation Statement as of 31st March 2015 from the following information: (a) Cash Book Balance (Overdraft) 12,500 (b) Cheques deposited but not recorded in Cash Book 2,000 (c) Cheque received Read More …
Question No 33 Chapter No 11 33. Prepare bank reconciliation statement of Dinesh on 30th June 2020 with following particulars:(i) Pass Book showed an overdraft of 15,000 on 30th June 2020.(ii) A cheque of 200 was deposited in bank but Read More …
Question No 32 Chapter No 11 32. On 31st March 2020 your bank Pass Book showed a balance of 6,000 to your credit. Before that date, you had issued cheques amounting to 1,500 of which cheques worth 900 only have Read More …
Question No 31 Chapter No 11 31. On Checking Ram’s Cash Book with the bank statement of his overdraft current account for the month of November 2019, you find the following:(a) Cash Book showed an overdraft of 16,200.(b) The payment Read More …
Question No 30 Chapter No 11 30. From the following particulars prepare a bank reconciliation statement of Govil as of 31st December 2019.Balance as per Pass Book on 31st December 2018 is 8,500. Cheques for 5,100 were issued during the Read More …
Question No 29 Chapter No 11 29. On 31st December, 2014 the Cash Book of Gopal showed debit balance of 12,000. On comparing the Cash Bookwith the Pass Book, the following discrepancies were noted:-(a) Cheques were issued for 15,000, but Read More …
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