Fill in the blanks with suitable word/ words :
1. The copy of customer’s account with the Bank is called ....................
2. The cheques deposited are entered on the .................... of the bank column of cash book.
3. Bank Reconciliation statement is prepared to .................... the bank balance as shown by the cash book and the bank statement.
4. Cheques issued are posted on the .................... side of the bank column of Cash Book.
5. The credit column of pass book should be equal to .................... column of cash book and debit column of pass book should equal to ...................column of cash book, if there are no differences.
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⤵⤵answer is here ⤵⤵
1. The copy of customer’s account with the Bank is called _hacking_
2. The cheques deposited are entered on the _top_of the bank column of cash book.
3. Bank Reconciliation statement is prepared to _secure_ the bank balance as shown by the cash book and the bank statement.
4. Cheques issued are posted on the _left_ side of the bank column of Cash Book.
5. The credit column of pass book should be equal to _amount_ column of cash book and debit column of pass book should equal to _deposit_column of cash book, if there are no differences.
⤵⤵answer is here ⤵⤵
1. The copy of customer’s account with the Bank is called _hacking_
2. The cheques deposited are entered on the _top_of the bank column of cash book.
3. Bank Reconciliation statement is prepared to _secure_ the bank balance as shown by the cash book and the bank statement.
4. Cheques issued are posted on the _left_ side of the bank column of Cash Book.
5. The credit column of pass book should be equal to _amount_ column of cash book and debit column of pass book should equal to _deposit_column of cash book, if there are no differences.
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1) Hacking.
2) Top.
3) Secure.
4) Left.
5) Amount.
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Thanks !!
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