Accountancy, asked by rupamsamadder108, 6 months ago

30
8. Enter the following transactions of Shri Mithu in a Single Column Cash Book and balance it :
2017

Jan. 1 Cash at bank (overdrawn)
2 Cash sales
4 Bought goods from Amal on credit
6 Sold goods to Ajit on credit
9 Paid to Amal by cheque
12 Received a cheque from Ajit in full settlement and banked immediately
16 Paid a cheque to Amal in full settlement
27 Withdrew from bank for personal use
18,000
16,000
22,000
25,000
15,000
24,500
6,700
4,000​

Answers

Answered by 12345dhulsika
1

is the answer to your question

Answered by gr3564335
0

Answer:

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