Home CA Notes Doubts About Store Contact Cart

Notes of department under the ministry of finance
October 13, 2024
Views: 494
Answers: 0
Anyone solve this question
October 13, 2024
Views: 499
Answers: 1
Can anyone tell me this question solution
October 13, 2024
Views: 455
Answers: 0
The Cash Book of Mr. X shows Rs. 16,928 as the balance at the Bank as on 31st March, 2020, but you find this does not agree the balance as per the Bank Pass Book. On security, you find the following discrepancies: a) On 15th March the payments side of the Cash Book was under cast by Rs.400. b) A cheque for Rs. 462 issued on 25th March was recorded in the Cash Column. c) One deposit of Rs. 500 was recorded in the Cash Book as if there is no Bank Column therein. d) On 18th March a debit balance of Rs. 3,152 as on the previous day, was brought forward as a credit balance. e) of the total cheques amounting to Rs. 23,228 drawn in the last week of March, cheques aggregating Rs. 15,630 were enchased in March. f) Dividends of Rs. 700 collected by the Bank and subscription of Rs. 120 paid by it were not recorded in the Cash Book. g) One outgoing cheque of Rs. 900 was recorded twice in the Cash Book. Required: Prepare a Reconciliation Statement (1) without amended Bank Balance (ii) Amended Bank Balance.
October 13, 2024
Views: 456
Answers: 0
Answer pls?
October 13, 2024
Views: 437
Answers: 1
Answer pls?
October 13, 2024
Views: 424
Answers: 0
Kiske pass ca Parag Gupta sir ke accounts ka handwritten notes ho to pls send me
October 11, 2024
Views: 545
Answers: 3
How to learn law ??
October 11, 2024
Views: 541
Answers: 1
I want answer for this questions
October 10, 2024
Views: 652
Answers: 1
Who can share his/her thoughts Start a new study plan for foundation exam
October 10, 2024
Views: 636
Answers: 2