Please give me answer I have too check wheather I am correct or not
Dear Student,
Bank Reconciliation Statement :-
Regards
Bank Reconciliation Statement :-
Sno. | Particulars | + Items | - Items |
a | Balance in Pass Book | 10,000 | |
b | Cheque wrongly credited to wrong account | 500 | |
c | Bank recorded wrong deposit | 9 | |
d | Passbook withdrawal column undercast | 100 | |
e | Balance wrongly posted in pass book | 3000 | |
f. | Payment of cheque recorded twice | 350 | |
g | Passbook shows cheque deposited by Jayant | 1000 | |
h | Dividend directly collected by bank | 125 | |
Balance as per Cash Book | 12616 | ||
Total | 13850 | 13850 |
Regards