Accountancy, asked by tapaswinee11sahoo, 9 months ago

On 31st December 2018, Pass book shows a debit balance of Rs7,500. From the following
particulars prepare a Bank Reconciliation Statement
a) Cheques paid for collection amounted to Rs. 20,600 but cheques of Rs.7,800 were credited
on 3rd January, 2019.​

Answers

Answered by alokkjha2005
0

Answer:

we will add 12800 into it

Explanation:

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