Saved Bookmarks
| 1. |
Prepare Bank Reconciliation Statement from the following `{:(,,Rs.),((i), "Debit balance as pert the Cash Book","15,000"), ((ii), "Cheques despostied but not cleared","1,000"),((iii), "Cheques issued but not presented.","1,500"), ((iv), "Bank interest","200"):}` |
| Answer» Correct Answer - Balance as per Pass Book - Rs. 15,700 | |