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On 31st March, 2025 the Pass Book shows a credit balance of ₹ 9,000. Prepare a Bank Reconciliation Statement from the following particulars:-
1 Payments received from customers directly by the bank 7,000
2 Cheques issued but omitted to be recorded in the Cash Book 3,800
3 Cheques paid into bank but not yet collected by the bank 2,600
4 Premium on LIfe Policy paid by the bank on standing advice 360
5 Payments received from customers direct by the bank 2,000
[Ans. Dr. Balance as per Cash Book ₹ 6,760.]
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