[CBSE] Q 12 Bank Reconciliation Statement Solutions TS Grewal class 11 (2022-23)
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.N | Solutions |
1 | Question – 1 |
2 | Question – 2 |
3 | Question – 3 |
4 | Question – 4 |
5 | Question – 5 |
6 | Question – 6 |
7 | Question – 7 |
8 | Question – 8 |
9 | Question – 9 |
10 | Question – 10 |
S.N | Solutions |
11 | Question – 11 |
12 | Question – 12 |
13 | Question – 13 |
14 | Question – 14 |
15 | Question – 15 |
16 | Question – 16 |
17 | Question – 17 |
18 | Question – 18 |
19 | Question – 19 |
20 | Question – 20 |