Accountancy, asked by sumitbiswas713147, 11 months ago


39. Record the following transactions in the Cash Book of Sri P. Nath and draw the closing balances of Cash
and Bank Columns :
2016
Dec. 1 Cash in hand
270
Cash at bank
11,460
5 Received a cheque from Arup & Co.
2,730
6 Cheque from Arup & Co. deposited into bank
12 Cash received from Asoke
1,340
15 Withdrawn from bank for office use
4,000
18 Paid salary to staff
4,770
20 Paid a cheque to Asim as part payment
1,490
25 Sold goods for cash
1,900
29 Arup & Co.'s cheque returned dishonoured by the bank
30 Deposited office cash into bank
2,400 please solve kar do​

Answers

Answered by ahmedkasimshivani
5

Answer:

and Bank Columns : 2016. Dec. 1 Cash in hand 270. Cash at bank 11,460 5 Received a cheque from Arup & Co. 2,730 6 Cheque from Arup ...

Explanation:

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