Home
Class 11
ACCOUNTS
On 30th June, 2019 bank clumn of the Cas...

On 30th June, 2019 bank clumn of the Cash Book Showed balance of Rs. 12,000 but the Pass Book showed a different balance dut to the following reasons:
(i) cheques paid into the bank Rs. 8,000 but out of these only cheques of Rs. 6,500 credited by bankers.
(ii) The receipts column of the Cash Book undercast by Rs. 200
(iii) On 29th June, a custmoer deposited Rs. 3,000 directly in the Bank Account but it was entered in the Pass Book only.
(iv) Cheques of Rs. 9,200 were issued of which Rs. 2,200 were presented for payment on 15th July,
(v) Pass Book shows a credit of Rs. 330 as intrested and a debit or Rs. 60 bank charges.
Prepare Bank Reconciliation Statement as on 30th June, 2019

Text Solution

Verified by Experts

The correct Answer is:
Balance as per Pass Book - Rs. 16,170
Promotional Banner

Topper's Solved these Questions

  • BANK RECONCILIATION STATEMENT

    TS GREWAL|Exercise EVALUATION QUESTIONS : QUESTIONS WITH MISSING VALUES|8 Videos
  • BANK RECONCILIATION STATEMENT

    TS GREWAL|Exercise SHORT ANSWER TYPE QUESTIONS|4 Videos
  • ADJUSTMENTS IN PREPARATION OF FINANCIAL STATEMENTS

    TS GREWAL|Exercise Illustration- 6|2 Videos
  • BASES OF ACCOUNTING

    TS GREWAL|Exercise Short Answer Type Questions|4 Videos
TS GREWAL-BANK RECONCILIATION STATEMENT -PRACTICAL PROBLEMS
  1. Prepare Bank Reconciliation Statement from the following particular as...

    Text Solution

    |

  2. From the following information prepare Bank Reconciliation Statement a...

    Text Solution

    |

  3. On 31st March, 2019, Pass Book of Shri Bhama Shah debit balance of Rs....

    Text Solution

    |

  4. On 31st March, 2019 Bank, Pass Book, of Naresh & Co. showd an overdraf...

    Text Solution

    |

  5. On checking the Bank Pass Book it was found that it showed an overdraf...

    Text Solution

    |

  6. Prepare Bank Reconciliation Statement from the following particulars a...

    Text Solution

    |

  7. Mohan's bank reconciliation statement shows cheque deposited but not ...

    Text Solution

    |

  8. Prepare Bank Reconciliation Statement as on 31st March, 2019 from the ...

    Text Solution

    |

  9. Prepare Bank Reconcipliation Statement from the following particularss...

    Text Solution

    |

  10. From the following information supplied by Sanjay prepare his Bank Rec...

    Text Solution

    |

  11. From the following ifromation supplied by Mr. D.H., prepare his Bank R...

    Text Solution

    |

  12. From the following particulars, aserctain the bank balance as per Pass...

    Text Solution

    |

  13. From the following particulars, find out corrected bank balance as per...

    Text Solution

    |

  14. From the following exteracts from the Cash Book and the Pas Boook for ...

    Text Solution

    |

  15. Prepare Bank Reconciliation Statement from the following {:(,,Rs.),...

    Text Solution

    |

  16. Ramessh has his account at Punjab National Bank, Delhi. According to h...

    Text Solution

    |

  17. On 31st March, 2019 Cash Book of Mahesh showed debit bank balance of ...

    Text Solution

    |

  18. On 30th June, 2019 bank clumn of the Cash Book Showed balance of Rs. 1...

    Text Solution

    |

  19. Cash Book shows a balance of Rs. 12,500. On comparing the Cash Book wi...

    Text Solution

    |

  20. From the following particulars, prepare Bank Reconciliation Statement ...

    Text Solution

    |