Prepare a bank reconciliation statement of Ruchika Limited as on 31st March 2017 for the following information =
1. Credit balance (overdraft) as per cash book 25000.
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Explanation:
credit balance as per cash book
means( + +)
( - - )
It means agar cash book decreaseho rhi h toh decrease kr denge lkin agar cashbook increase ho rhi h toh increase kr denge
hope it helps u
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