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The cash Book of Mr. Shyamswaroop on 31st July, 2016, showed a debit balance of `15,000. On reconciling with the Pass Book, it was revealed that the cheques of ` 1,000 and ` 1,400 deposited with the Bank of 30th July were not yet collected. Cheques worth ` 1,200, ` 1,600 and ` 2,400 were issued on 28th July, were not presented for payment as yet. Interest of ` 250 was credited in the Cash Book. The Bank debited ` 30 as bank charges which was not entered in Cash Book. Prepare Bank Reconciliation Statement on 31st July, 2016. |
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Answer» Answer: (+) (-)
BALANCE as PER cash BOOK. 15000 cheque deposit but not collect. 2400 cheque issued but not clear. 5200 bank charges 30 interest credited by bank. 250 balance as per pass book 17520 |
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