Accountancy, asked by priyahupta099, 1 month ago

22. Record the following transactions in the books of Rakhi :
2016
Mar. 1 Cash deposited into bank * 40,000.
Mar. 4 Personal cash deposited into business bank account = 60,000.
Mar. 10 Cash withdrawn from bank personal use 7 15,000.
Mar. 11 Cash withdrawn from bank for office use 9,900.
Mar. 14 Cheque issued to Shreya F 14,400.
Mar. 18 Cheque issued to Balbir + 16,000 for salary.
Mar. 19 Received cheque from Amrita 7 9,100 and deposited into bank the same day.
Mar 21 Cheque issued to Shreya returned dishonoured.

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Answered by priyanshkothari90
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