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
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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.
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