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Prepare a bank reconciliation statement from the following particulars on 31st March, 2016. Amt. (Rs.)(i)Debit balance as per bank column of the cash book3,72,000(ii)Cheques issued to creditors but not yet presented to the bank for payment 72,000(iii)Dividend received by the bank but not entered in the cash book 5,000(iv)Interest allowed by the bank 1,250(v)Cheques deposited into bank for collection but not collected by bank upto this date 15,400(vi)Bank charges 200(vii)A cheque deposited into bank was dishonoured but no intimation was received 320(viii)Bank paid house tax on our behalf but no information received from bank in this connection 350 |
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Answer» Prepare a bank reconciliation statement from the following particulars on 31st March, 2016. |
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