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Question No 18 Chapter No 7 – D.K Goal 11 Class

Question No 18 Chapter No 7

Question No 18 Chapter No 7

18. Mr. Lal operates two bank accounts both of which are maintained in the columnar cash book itself. You are required to prepare a proforma of the cash book, record the following transactions therein and draw the closing balances as on 30th June, 2017:

2018  
Jun.20 Opening Balance of Cash 1,180
  Progressive Bank 19,040
  Goodwill Bank Overdraft 6,460
Jun.20 Received cheque for 1,800 from a debtor Mr. X and deposited in Goodwill Bank. The Bank credited the amount on 23rd June and debited 4 as its collection charges.
Jun.21 Purchased goods for 18,210 and a cheque issued on Progressive Bank
Jun.22 Paid office expenses 410 and 80 for stationery in cash.
Jun.23 Deposited a cheque for 21,090 being sale proceeds of goods in Progressive Bank. The Bank credited the amount on the same day and debited 21 as cheque discounting charges
Jun.23 A cheque for 8,000 drawn by Mr. Lal himself on Progressive Bank was deposited in his account with Goodwill Bank. 
Jun.25 Cash drawn from the account with Progressive Bank 600 for office use. 
Jun.25 A cheque for 1,100 received from Mr. A and earlier deposited in Goodwill Bank on14thJune was returned unpaid and Bank debited 10 towards its charges. Mr. Lal received the amount of returned cheque and Bank charges in cash from Mr. A. 
Jun.28 Deposited cash 1,500 in the account with Goodwill Bank.
Jun.29 Purchased postal stamps for 200 and paid in cash

The solution of Question No 18 Chapter No 7: –

Dr. Cash Book Cr.
Date Particulars
L.
F.
Cash
Profressive bank Goodwill bank Date Particulars
L.
F.
Cash Profressive bank Goodwill bank
2020           2020          
Jun.20 To Balance c/d   1,180 19,040 Jun.20 By Balance b/d   6,460
Jun.20 To X A/c   1,800 Jun.21 By Purchase A/c   18,210
Jun.23 To Sale A/c   21,090 Jun.22 By Office Exp. A/c   410
Jun.23 To Progressive bank A/c   8,000 Jun.22 By Stationery A/c   80
Jun.25 To Progressive bank A/c   600 Jun.23 By Bank Charges A/c   21 4
Jun.25 To A A/c   1,110 Jun.23 By Goodwill Bank A/c   8,000
Jun.28 To Cash A/c   1,500 Jun.25 By Cash A/c   600  
            Jun.25 By A A/c   1,110
            Jun.28 By Goodwill Bank A/c   1,500 8,000
            Jun.29 By Postage A/c   200
                       
            Jun.30 By Balance C/d   75
6,420
      2,890 40,130 11,300       2,890 40,130 11,300

 

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Also, Check out the solved question of all Chapters: –

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

Check out the Accountancy Class +1 by D.K. Goal (Arya Publication) from their official Site.

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D K Goel accountancy +1 – ISC_Accounts_11_20_Image

 

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