Accountancy, asked by viplove812, 1 month ago

1rajdhani Club fonte year ended 31st March, 2021 : Payments Other Informa On 31-3-2 outstanding an Receipts To Balance b/d : (1-4-2020) Cash in hand Cash in Deposit Account Cash in Current Account To Subscriptions To Entrance Fees To Life Membership Fees To Newspapers (Sales) To Canteen Collections To Interest on Deposits 35 3503 W 230 4805 By Staff Salary 4,000 By Canteen Expenses 16,000 By Misc. Expenses 5,200 By Insurance 80,000 By Telephone Expenses 12,000 By Furniture Purchased 15,000 By Investments Purchased 200 By Balance c/d (31-3-2021): 4,400 Cash in hand 1,600 Cash in Deposit Account Cash in Current Account 1,38,400 345,000 including Prepar 31-3-202 as at 31st [An 32,09, 15,000 4690 315.00 Cons 6,9 2009 A24 EXT Additional Information :- 1,38,400 31-3-2020 ₹ 31-3-2021 (i) Outstanding Subscriptions (ii) Subscriptions Received in advance (iii) Salaries Outstanding (iv) Furniture (v) Sports Equipment 7,000 2,000 1,200 10,000 5,600 2,500 1,800 20​

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Answered by omjainnivesh
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Answer:

345,000 including Prepar 31-3-202 as at 31st [An 32,09, 15,000 4690 315.00 Cons 6,9 2009 A24 EXT Additional Information :- 1,38,400 31-3-2020 ₹ 31-3-2021 (i) Outstanding Subscriptions (ii) Subscriptions Received in advance (iii) Salaries Outstanding (iv) Furniture (v) Sports Equipment 7,000 2,000

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