Accountancy, asked by neelimapathak, 1 year ago

credit balance as per pass book is given the question is cheque 3000 were issued during the month of December but of these cheque for 1000 were not presented for payment.


neelimapathak: please solve this problem
neelimapathak: OK sorry bro

Answers

Answered by manish2808
2
It means that in passbook 1,000 has not been reduced yet because not presented. But in cash book we've reduced 1,000 while issuing the cheque. So, to reconcile the balance of passbook you need to reduce 1,000 from passbook balance to arrive balance as per cash book.

neelimapathak: thanks
neelimapathak: please solve my difficulty the question is cheque issued in March but were presented in April next. p 4000 is g 4500.
manish2808: It means you reduced the balance in your cash book in March but it got reduced from bank passbook in April. So, you need to plus or minus the amount depending whether you start wirh cash or bank passbook.
neelimapathak: please solve my difficulty the question is the sum of ratio of the first to second is 3/4and the ratio of the second to third is 4/5.find the second number.
manish2808: 4?
neelimapathak: ha
manish2808: It's easy, ratio of first two numbers is 3/4. Means first number is multiple of 3 and second is multiple of 4. In second, second number is multiple of 4, third is multiple of 5. Because, second number is equal in both ratios. Hence, it is 4. The numbers are 3, 4 and 5.
neelimapathak: OK thanks
manish2808: Welcome
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