Accountancy, asked by uppalpayal41, 4 months ago

(Cas
1,000
Book with Cash and Bank Columns)
8. Enter the following transactions in two-column Cash Book with Cash and Bank Columns:
2018
(*).
Oct. 1
Cash Balance
Bank Balance
5,000
Oct. 5
Deposited into the Bank
1,000
Oct. 8
Wages paid by cheque
250
Oct. 10 Withdrawn from Bank for office use
400
Oct. 12 Drawings made by proprietor
100
Oct. 14 Received cheque from Pawan for 700,
deposited in Bank
700
Oct. 20 Pawan's cheque dishonoured
Oct. 30 Deposited into Bank, balance of cash in excess of 250
(Hint: On 30th Oct. cash deposited in the Bank 50.]
[Ans. Cash Balance 250 and Bank Balance 5,4001​

Answers

Answered by pirkashbhati8954
0

Answer:

62451

Explanation:

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