One outgoing cheque of 300 was
recorded twice in the cash book. How
will it be treated for the purpose of bank
reconciliation statement?
(a) 600 will be added to the balance as per
cash book.
(b)* 300 will be deducted from the balance as
per cash book.
3300 will be added to the balance as per
cash book.
(d) None of the above
Answers
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1
Answer:
b
a
Explanation:
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