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Kanak Rawat
Subject: Accountancy
, asked on 12/10/21
Solve the Q2:
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1
Harsh Singh
Subject: Accountancy
, asked on 11/10/21
Solve it !
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Harsh Singh
Subject: Accountancy
, asked on 11/10/21
Solve it Asap!!
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1
Sujal M Bhavsar
Subject: Accountancy
, asked on 8/10/21
what is Bank recollection statement ? - class 11 com
Answer
1
Dishank Buddy
Subject: Accountancy
, asked on 28/9/21
Experts please tell what is the Balance as per Pass Book.
Answer
2
Roshni Sequeira
Subject: Accountancy
, asked on 21/9/21
On 31st March, 2019, Cash Book of a merchant showed bank overdraft of Rs. 1,72,985. On comparing the Cash Book with Bank Statement, following discrepancies were noted. <br> (i) Cheques issued for Rs. 60,000 were not presented in the bank till 7th April 2019 <br> (ii) Cheques amounting to Rs.75,000 were not presented in the bank but were not collected <br> (iii) A cheque of Rs. 15,000 received from Mahesh Chand and deposited in the bank was dishonoured but the non-payment advice was not received from the bank till 1st April, 2019. <br> (iv) Rs. 1,50,000 being the proceeds of a bill receivable collected appared in the Pass Book but not in the Cash Book , <br> (v) Bank charges Rs. 1,500 and intrest overdraft Rs. 8,500 appeared in the Pass Book but not in the Cash Book <br> (vi) Overdraft b alance as per Cash Book of Rs. 500 pm 28thh Feburay, 2019 was wrongly carried forward as debit balance. The error was noted at the time of preparing the Bank Reconciliation Statement as on 31st March, 2019 <br> Prepare Bank Reconciliation Statement
Answer
1
Tanvi Gupta
Subject: Accountancy
, asked on 20/9/21
Can you explain the 4th part of Q9
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1
Sarthak Khandelwal
Subject: Accountancy
, asked on 18/8/21
My balance is comming wrong. Plz tell the solution...
Answer
1
Pranav Sharma
Subject: Accountancy
, asked on 17/8/21
Please give me answer I have too check wheather I am correct or not
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1
Pranav Sharma
Subject: Accountancy
, asked on 17/8/21
Please give me answer I have to check my answers
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1
Pranav Sharma
Subject: Accountancy
, asked on 17/8/21
Please give me answer of this question I have tried I want to check my answer
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2
Ibaad
Subject: Accountancy
, asked on 6/6/21
Accounts Q26 pls solve
Answer
1
Ibaad
Subject: Accountancy
, asked on 5/4/21
This is of account please solve bank reconcialition one
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1
Ibaad
Subject: Accountancy
, asked on 3/4/21
Please solve this 23rd question
Answer
1
Ibaad
Subject: Accountancy
, asked on 3/4/21
Please solve the 16th question please
Answer
1
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On 31st March, 2019, Cash Book of a merchant showed bank overdraft of Rs. 1,72,985. On comparing the Cash Book with Bank Statement, following discrepancies were noted. <br> (i) Cheques issued for Rs. 60,000 were not presented in the bank till 7th April 2019 <br> (ii) Cheques amounting to Rs.75,000 were not presented in the bank but were not collected <br> (iii) A cheque of Rs. 15,000 received from Mahesh Chand and deposited in the bank was dishonoured but the non-payment advice was not received from the bank till 1st April, 2019. <br> (iv) Rs. 1,50,000 being the proceeds of a bill receivable collected appared in the Pass Book but not in the Cash Book , <br> (v) Bank charges Rs. 1,500 and intrest overdraft Rs. 8,500 appeared in the Pass Book but not in the Cash Book <br> (vi) Overdraft b alance as per Cash Book of Rs. 500 pm 28thh Feburay, 2019 was wrongly carried forward as debit balance. The error was noted at the time of preparing the Bank Reconciliation Statement as on 31st March, 2019 <br> Prepare Bank Reconciliation Statement