MENU
Question -

On comparing the cash book with passbook of Naman it is found that on March 31, 2017, bank balance of Rs 40,960 showed by the cash book differs from the bank balance with regard to the following:
(a) Bank charges Rs 100 on March 31, 2017, are not entered in the cash book.
(b) On March 21, 2017, a debtor paid Rs 2,000 into the companyтАЩs bank in settlement of his account, but no entry was made in the cash book of the company in respect of this.
(c) Cheques totaling Rs 12,980 were issued by the company and duly recorded in the cash book before March 31, 2017, but had not been presented at the bank for payment until after that date.
(d) A bill for Rs 6,900 discounted with the bank is entered in the cash book with recording the discount charge of Rs 800.
(e) Rs 3,520 is entered in the cash book as paid into bank on March 31st, 2017, but not credited by the bank until the following day.
(f) No entry has been made in the cash book to record the dishonour or on March 15, 2017 of a cheque for Rs 650 received from Bhanu.
Prepare a reconciliation statement as on March 31, 2017.



Answer -

Bank Reconciliation Statement of┬аNaman┬аas on┬а March 31, 2017

S. No.

Particulars

(+)

Amount

Rs

(тАУ)

Amount

Rs

┬а

Balance as per the Cash Book

40,960

┬а

(a)

Bank debited charges

┬а

100

(b)

Amount directly paid by debtor into bank account

2,000

┬а

(c)

Cheques┬аissued but┬аnot┬аpresented for payment

12,980

┬а

(d)

Discount charges of bill was omitted to be recorded in the Cash Book

┬а

800

(e)

Amount debited in bank column of the Cash Book but┬аnot┬аdeposited in bank

┬а

3,520

(f)

Cheque┬аdishonoured┬аnot┬аrecorded in the Cash Book

┬а

650

┬а

┬а

┬а

┬а

┬а

Balance as per the Pass Book

┬а

50,870

┬а

┬а

55,940

55,940

┬а

┬а

┬а

┬а

Comment(S)

Show all Coment

Leave a Comment

Free - Previous Years Question Papers
Any questions? Ask us!
×