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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

Answer in one sentence:

On which side is interest on bank deposit recorded in Pass Book?


Do you agree or disagree with the following statement:

Bank statement enables account holder to prepare Bank Reconciliation Statement.


Complete the following statement:

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


When money is withdrawn from bank, the bank ______.


The bank reconciliation statement is prepared by the banker.


Credit balance as per bank statement is an overdraft.


Give any three reasons for preparing bank reconciliation statement.


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

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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