Accountancy, asked by manimala76, 1 year ago

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

Answers

Answered by caeducation15
3

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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