Accountancy, asked by ketkij256gmailcom, 1 year ago

Name the two situations with regard to balances while preparing the Bank

Reconciliation Statement.​

Answers

Answered by svvnhs
8

1. cheque issed but not deposited

2. cheque received but not deposited in bank

3. received cheque deposited but dishonored in bank due to insufficient amount or sign mismatch

4. cheque issed but dishonored in bank

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