Accountancy, asked by guri9651, 6 months ago

23. Enter the following transactions in the Cash book:
July 1 Cash balance 50000 Bank overdraft 10000
July 5 Goods sold of Rs 20000 and cheque received.
July 8 Above cheque deposited in to Bank.
July 12 Above cheque returned by the bank as dishounered.
July 18 Cheque received from Hari of Rs 15000 and endorsed to Ram kumar.​

Answers

Answered by giteshchavan9
0

Explanation:

ccountancy Dk Goel 2018 for Class 11 Commerce Accountancy Chapter 5 - Books Of Original Entry Cash Book

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Textbook Solutions Class 11 Accountancy Books Of Original Entry Cash Book

Accountancy Dk Goel 2018 Solutions for Class 11 Commerce Accountancy Chapter 5 Books Of Original Entry Cash Book are provided here with simple step-by-step explanations. These solutions for Books Of Original Entry Cash Book are extremely popular among Class 11 Commerce students for Accountancy Books Of Original Entry Cash Book Solutions come handy for quickly completing your homework and preparing for exams. All questions and answers from the Accountancy Dk Goel 2018 Book of Class 11 Commerce Accountancy Chapter 5 are provided here for you for free. You will also love the ad-free experience on Meritnation’s Accountancy Dk Goel 2018 Solutions. All Accountancy Dk Goel 2018 Solutions for class Class 11 Commerce Accountancy are prepared by experts and are 100% accurate.

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