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Give any two expenses which may be paid by the banker as per standing instruction. - Accountancy

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प्रश्न

Give any two expenses which may be paid by the banker as per standing instruction.

एक पंक्ति में उत्तर
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उत्तर

Insurance premium, loan installment, etc., paid as per standing instructions.

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अध्याय 8: Bank Reconciliation Statement - Very short answer questions [पृष्ठ १७१]

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सामाचीर कलवी Accountancy [English] Class 11 TN Board
अध्याय 8 Bank Reconciliation Statement
Very short answer questions | Q II 4. | पृष्ठ १७१

संबंधित प्रश्न

Give one word/term/phrase which can substitute the following statement:

Excess of bank deposits over withdrawals by businessman in bank current account.


Do you agree or disagree with the following statement:

Bank statement enables account holder to prepare Bank Reconciliation Statement.


Select the most appropriate alternative from those given and rewrite the following statement:

Bank Reconciliation Statement is prepared by _________.


Complete the following statement:

While preparing Bank Reconciliation Statement only __________ column of Cash Book is considered.


Complete the following statement:

A statement showing the reasons for difference in Cash Book balance and Pass Book balance is known as ___________.


State whether the following statement is True or False with reasons:

Businessman can prepare Bank Reconciliation statement only with Cash Book Balance.


What is bank reconciliation statement?


 Correct and rewrite the following statement:

Bank Reconciliation Statement is prepared by Bank.


From the following particulars prepare Bank Reconciliation Statement as on 30th June 2019.

  1. Credit balance as per Pass Book ₹ 20,000
  2. A cheque for ₹ 3,500 was issued and paid by bank, recorded in Pass Book as ₹ 5,300.
  3. Cheque deposited ₹ 9,700 collected by bank was not recorded in Cash Book
  4. Payment side of Cash Book was undercast by ₹ 100.
  5. Electricity bill paid by bank ₹ 6,200 was recorded twice in Pass Book

From the following particulars prepare Bank Reconciliation Statement as on 30th June 2019.

  1. Credit balance as per Pass Book ₹ 20,000.
  2. A cheque for ₹ 3,500 was issued and paid by bank, recorded in Pass Book as ₹ 5,300.
  3. Cheque deposited ₹ 9,700 collected by bank was not recorded in Cash Book.
  4. Payment side of Cash Book was undercast by ₹ 100.
  5. Electricity bill paid by bank ₹ 6,200 was recorded twice in Pass Book.

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