From the following particular prepare a bank reconciliation on 31stdecember ,2016 a, balance as per cash book RS.7130
b, cheque deposited but not cleared
c,A customer has deposited RS.800 into the bank directly
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balance as per cash book 7130
Add: payment received directly 800
in bank
balance as per cash book 7930
Note: Balance as per bank is missing ...you cannot find balance as per
bank due to incomplete data
manimala76:
Tanq you so much.......... bro
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