UNSOLVED QUES 10 || BANK RECONCILIATION STATEMENT || TS GREWAL || PRACTICAL QUESTIONS

UNSOLVED QUES 10 || BANK RECONCILIATION STATEMENT || TS GREWAL || PRACTICAL QUESTIONS

UNSOLVED QUES 10 ||BANK RECONCILIATION STATEMENT || TS GREWAL || CLASS 11th || PRACTICAL QUESTIONS Draw Bank Reconciliation Statement showing adjustment between your Cash Book and Pass Book as on 31st March, 2011. (i) On 31st March, 2011 your pass book showed a balance of ₹ 6,000 to your credit. (ii) Before that date, you had issued cheques amounting to ₹ 1,500 of which cheques of ₹ 900 have been presented for payment. (iii) A cheque of ₹ 800 paid by you into the bank on 29th March, 2011 is not yet credited in pass book. (iv) There was a credit of ₹ 85 for interest on Current Account in the pass book. (v) On 31st March, 2011 a cheque for ₹ 510 received by you and was paid into bank but the same was omitted to be entered in cash book. .#accounts #tsgrewal #brs #question10 #accounts #bankreconciliationstatement #question #unsolvedquestion #solvedquestions #2022-2023 #impirialacademyofstudies #11th #accounts #commerce #ias #caparaspuri #bestaccountsclasses Youtube:    / @imperialacademyofstudies   Facebook:   / paras.puri.944   Facebook Page:   / ca-paras-puri-accounts-classes-11670546976...   Instagram:   / ca_paraspuri   Imperial Academy App: https://play.google.com/store/apps/de... Visit Our Website: www.imperialacademyofstudies.in Address: Branch-1 WZ 565 Shri Nagar Gali No-1 Delhi-110034 Branch 2: Rani Bagh Contact us at: 8010-090-010, 9999-090-767. CA PARAS PURI’S ACCOUNTS CLASSES