Accountancy, asked by dbcisbest, 3 months ago

Mohan’s bank reconciliation statement shows cheques deposited but not credited by bank 3,800 and cheques issued but not presented by suppliers 3,500. His bank balance as per cash book is 25,000(Dr.). Balance as per pass book is

a 25,000
b 24700
c 25,300
d 32,300

Answers

Answered by kumartexas
4

Answer:

25 300 is the answer dude

Mark as brainliest

Answered by rishabhshettyavtnlif
0

Answer:

it's 24700 for sure

because they ahve asked as per cash book statement, better with all the ledgers

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