Accountancy, asked by elavarasanmurugan, 4 months ago

discrepancies
(1) On 15th December, the payments side of the
cash book was undercast by 3200.
(ii) A cheque for 262 issued on 25th December
was recorded in the cash column
(iii) One deposit of 300 in de bank was
recorded in the cash book as if there is no
bank column therein,
(iv) On 18th December, the debit balance of
23.052 on the neighbought
forward as a credit balance
(v) of the total cheques amounting to 23,028
drawn in the last week of December, cheques,
aggregating 15,630 were encashed in
December​

Answers

Answered by aditya2866
0

Answer:

on deposite of k younsjjndkns

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