Accountancy, asked by gyash1982, 4 months ago

Prepare a Bank Reconciliation Statement on 30

November 2019 for the following particulars:

Particulars

Balance as per cash book

Amount (Rs.) 32000

Cheque issued but not presented for payment

7400

Cheque deposited but not yet cleared

8200

Insurance Premium paid by
1900
the bank Interest credited by the bank 800​

Answers

Answered by pasterhardeepsingh
0

Answer:

8000 is right answer

Explanation:

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