Bank balance as per pass book 10000
WebBalance as per the Pass Book. 10,000 . ii. Cheque deposited but not entered in the Cash book . 500. iii. Cheque entered in the Cash Book but not deposited in the bank. 1,200 . … WebClick here👆to get an answer to your question ️ Bank balance as per cash book (Dr.) Rs. 10,000 . A comparison of pass book and cash book revealed the following - - Rs. 590 was wrongly debited by bank - Transfer by bank to another account with no advice Rs. 2,500 .Balance as per pass book will be . ... On 3 1 st March 2 0 1 2 bank balance as ...
Bank balance as per pass book 10000
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WebFrom the following particulars ascertain the bank balance as per bank pass book of Ramnath as on 31st December 2006: (a) Bank overdraft as per Cash Book on 31st December 2006, Rs. 6,000. (b) Interest on overdraft for six months ending 31st December 2006 Rs. 200 is debited in the Pass Book. WebAug 13, 2024 · A bill for 10,000 was retired by the bank under a rebate of 150 but the full amount of the bill was credited in the bank column of the Cash Book. Prepare a Bank Reconciliation Statement and find out the balance as per the Pass Book. bank reconciliation statement; class-11; Share It On Facebook Twitter Email. 1 Answer +2 …
WebYou are required to prepare a Bank Reconciliation Statement as on 31st December, 2024 and ascertain the balance as per bank Pass Book. ... Overdraft on 30th September 2024 as per Pass Book Rs. 10,000. (b) Cheque deposited in the bank but not recorded in Cash Book Rs. 100. (c) Cheque received and recorded in the Cash Book but not sent to bank ... WebOverdraft as per Cash Book is ₹10,000. Cheques deposited but not credited ₹2,500. Cheques issued but not encashed ₹3,500. What is the balace as per Pass Book ?
WebPreparation of BRS. Bank Reconciliation Statement is a statement which is prepared on a particular date to reconcile the Bank Balance as per Cash Book and Bank Balance as … WebThis is the case when there are bank fees or electronic transfers on the bank statement that have not yet been recorded in the company's general ledger accounts. For example, the …
WebRs. 16,000. D. Rs. 22,000. Test: Bank Reconciliation Statement - 1 - Question 5. Save. The credit balance of Rs. 2,000 in the bank column of the cash book was carried forwarded as its debit balance. When overdraft as per pass book is …
Web(a) Balance as per passbook is ₹ 10,000. (b) Bank collected a cheque of ₹ 500 on behalf of Shri Krishan but wrongly credited it to Shri Kishan’s account. (c) Bank recorded a cash … does guaranteed pity carry overWebJul 11, 2024 · Bank Reconciliation Example – 2 Wright Inc. has a balance in a Passbook of $10,000 as on 31 st December 2024. These are the other details: Three cheques of $2,000, $1,500 and $2,500 were deposited in the bank on 30 th December 2024 but were … The owner should, first of all, identify the hazards that can exist in the salon. For … The Bank, in the past, has advanced credit facilities with a cutoff score of 660 and … Example 2: Soft Drink Industry. The soft drink market is another common … f8 community\u0027sWebJan 10, 2024 · Balance as per the cash book is $1,650. Checks of $2000 and $1000 issued as on 30th march 2024, but not yet cleared. Insurance paid by the bank is $200. It is not … does guam want to be a stateWebNov 1, 2024 · This information is used in a bank reconciliation. Balance per bank is the ending cash balance appearing on a bank statement. This information is used in a bank … does guard insurance write vacant buildingsWeb(i) Bank balance as per passbook 10,000 (ii) Cheque deposited into the bank but no entry was passed in the cash book 500 (iii) Cheque received and entered in the cash book but … does guaranteed universal life has cash valueWebOct 20, 2024 · Which of the following would not be a reason for difference between bank balance as per cash book and pass book? a) Bank charges of ` 200 b) Cheques deposited but not yet cleared worth ` 9,900 ... Overdraft as per Cash book is Rs 10,000. Uncollected cheques are Rs 2,500 and unpresented cheques were Rs 3,500. The _____ … f8 compatibility\\u0027sWebPrepare a Bank Reconciliation Statement as on 31st Dec. 2016, showing balance as per cash book: (i) Debit balance shown by the pass book 17,800. ... On 31st March 2024 Bank Passbook of Gopal showed a balance of Rs.15000 to his credit. (ii) ... Received only 60 paise in rupee from official receiver of Mr. Vinod who owed 10,000. ... does guard cell contain chloroplast