Ask question Search Order By: ActiveCategoryClear Filter 0 Votes 1 Ans Rectify the following errors: Furniture purchased for ₹ 10,000 wrongly debited to Purchases Account 77 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Rectify the following errors: A sale of goods to Ramakant for ₹ 10,000 was passed through the Purchases Book. 76 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Give Journal Entries to rectify the following errors: Goods purchased from Meena for ₹ 13,000 were recorded in Sales Book by mistake. 80 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Rectify the following errors: Sold old furniture to A for ₹ 11,500 was passed through the Sales Book. 89 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Rectify the following errors: Goods for ₹ 11,000 were purchased from Sheila Garments on credit, but not entry has yet been passed. 92 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Give rectifying entries for the following: A credit sales of goods to Ram ₹ 25,000 has been wrongly passed through the ‘Purchases Book’. 87 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Rectify the following errors: Credit Sales to Mridula ₹ 50,000 were recorded as ₹ 54,000 73 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Rectify the following errors: Credit sales to Mridula ₹ 50,000 were recorded as ₹ 5,000. 83 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans Rectify the following errors: Credit Sales to Mridula ₹ 50,000 were not recorded. 68 viewsAnurag Pathak Answered question 4 days agoDk Rectification of Errors 0 Votes 1 Ans From the following particulars make out the Bank Reconciliation Statement as on 31st December 2024. Pass book showed a credit balance of ₹ 15,000 on 31st December 2024. 118 viewsAnurag Pathak Changed status to publish January 10, 2026Dk Goel BRS 0 Votes 1 Ans On 31st December, 2024, pass book shows debit balance of ₹ 7,500. From the following particulars, preapre a Bank Reconciliation Statement: 125 viewsAnurag Pathak Answered question January 10, 2026Dk Goel BRS 0 Votes 1 Ans On 30th June, 2024, the pass book of Nataraj showed a bank overdraft of ₹ 46,000. The following additional information is available. You are required to prepare a bank reconciliation statement as on the above mentioned date: 116 viewsAnurag Pathak Answered question January 10, 2026Dk Goel BRS 0 Votes 1 Ans While comparing the cash book of Mayank with the bank pass book on 30th September, 2024 you find the following: 123 viewsAnurag Pathak Answered question January 10, 2026Dk Goel BRS 0 Votes 1 Ans Prepare a Bank Reconciliation Statement as on 31st Dec., 2019 from the following transactions: Bank overdraft as per Pass Book ₹ 22,000 as on 31st Dec. 130 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans Prepare a Bank Reconciliation Statement in the books of Bharti as on 31st January 2023: Balance as per Pass Book as on 31st Janauary was ₹ 62,500. 128 viewsAnurag Pathak Changed status to publish January 9, 2026Dk Goel BRS 0 Votes 1 Ans The following information relate to the business of Mohit Raina, who requests you to prepare his amended Cash Book and reconcile his Cash Book balance with his Pass Book balance: 114 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans From the following particulars, prepare a Bank Reconciliation Statement of Alpha Electronic Motor Private Ltd. as on 30th September, 2024: 126 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans Raghav & Co. have two bank accounts, Account No. 1 and Account No. II. From the following particulars relating to Account no. I, find out the balance on that account on December 31, 2024 according to the Cash Book of the firm 105 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans From the following particulars prepare bank reconciliation statement as on 31st March 2025: Debit balance as per Cash Book ₹ 1,620. 129 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans Prepare a Bank Reconciliation Statement from the following particulars as on 31st March 2025: (i) Cheques were deposited into bank on 25th March for ₹ 20,000. 151 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans On 31st March, 2025 the Pass Book of Mr. Janaki Dass showed a credit balance of ₹ 20,600. Prepare a Bank Reconciliation Statement from the following information: 135 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans Prepare a Bank Reconciliation Statement as on 31st March 2025 from the following informations: Cash Book Balance (Overdraft) ₹ 12,500 143 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans Prepare bank reconciliation statement of Dinesh on 30th June 2024 with following particulars: Pass Book showed an overdraft of ₹ 15,000 on 30th June 2024. 134 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans On 31st March 2025 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 been presented 143 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS 0 Votes 1 Ans On checking Ram’s Cash Book with the bank statement of his overdraft current account for the month of November 2024, you find the following: 104 viewsAnurag Pathak Answered question January 9, 2026Dk Goel BRS « Previous 1 2 3 4 5 … 184 185 Next » Question and answer is powered by anspress.net