[CBSE] Q 12 Bank Reconciliation Statement Solutions TS Grewal class 11 (2022-23)

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Are you looking for the solution of Question number 12 Bank Reconciliation statement TS Grewal Class 11 CBSE Board 2022-23 Session?

Prepare Bank Reconciliation Statement as on 30th September, 2020 from the following particulars:

(i) Bank Balance as per Pass Book.10,000
(ii) Cheques deposited into bank but no entry was passed in Cash Book.500
(iii) Cheque received and entered in Cash Book but not sent to bank.1,200
(iv) Insurance premium paid directly by the bank.800
(v) Bank charges entered twice in the Cash Book.20
(vi) Cheque received entered twice in Cash Book.1000
(vii) Bill discounted dishonoured not recorded in the Cash Book.5000

[Balance as per Cash Book – ₹ 17,480.]

Solution:-

Below is the list of all solutions of Bank Reconciliation statement TS Grewal CBSE Board

S.NSolutions
1Question – 1
2Question – 2
3Question – 3
4Question – 4
5Question – 5
6Question – 6
7Question – 7
8Question – 8
9Question – 9
10Question – 10
S.NSolutions
11Question – 11
12Question – 12
13Question – 13
14Question – 14
15Question – 15
16Question – 16
17Question – 17
18Question – 18
19Question – 19
20Question – 20
S.NSolutions
21Question – 21
22Question – 22
23Question – 23
24Question – 24
25Question – 25
26Question – 26
27Question – 27
28Question – 28
29Question – 29
30Question – 30
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Anurag Pathak

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