Accountancy, asked by rathianand15, 11 months ago

From the following prepare Bank Reconciliation statemwnt as on 31-12-2014 . (a) Debit balance as per cash book ₹10,000. (b) cheque of ₹ 500 issued in favor of karan not presented for payment. (c) a cheque for ₹ 295 deposited in the bank has been dishonoured. (d) a sum of ₹ 800 deposited in the bank has been credited ₹ 80 in the pass book. (e) payment side of cash book has been under cast by ₹ 200​

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