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Prepare a Bank Reconciliation Statement ...

Prepare a Bank Reconciliation Statement from the following particulars as on 31st March 2015 :
(i) Cheques were deposited into bank of 25th March for ₹20,000. Out of these cheques for ₹8,000 were cleared on 4th April, cheques for ₹6,000 on 6th April and one cheque for ₹1,400 was dishonoured on 7th April.
(ii) Cheques amounting to ₹12,000 were issued in March, out of which cheques for ₹2,000 were encashed upto 31st March.
(iii) A bill for ₹5,000 (discounted with the bank in January) Dishonoured on 30th March 2015 and noting charges paid by bank ₹50. No information regarding the dishonour was received from the bank in March 2015.
(iv) Cheque issued to a creditor for ₹2,000 was through mistake entered in the cash column of the Cash Book. The same has not been presented for payment till today.
(v) Receipt side of the Cash Book (bank column) was undercast by ₹100.
(vi) Bank has paid a bill payable amounting to ₹2,500 but is has not been entered in the Cash Book.
(vii) A cheque for ₹2,000 issued to Mr. X was omitted to be recorded in Cash Book.
(viii) Dr. balance as per Pass Book was ₹7,200.

Text Solution

Verified by Experts

The correct Answer is:
Balance as per Cash Book ₹7,650

Item No. (iv) will not be considered while preparing Bank Reconciliatino Statement as the Cash Book (bank columns) and Pass Book balance are not effected.
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