Please give me answer I have too check wheather I am correct or not

Dear Student,
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

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