Illustrations · Illustration 8
Q.From the following particulars, prepare the bank reconciliation statement of Shri Krishan as on March 31, 2017.
(a) Balance as per passbook is ₹10,000.
(b) Bank collected a cheque of ₹500 on behalf of Shri Krishan but wrongly credited it to Shri Kishan's account.
(c) Bank recorded a cash book deposit of ₹1,589 as ₹1,598.
(d) Withdrawal column of the passbook under cast by ₹100.
(e) The credit balance of ₹1,500 as on the pass-book was recorded in the debit balance.
(f) The payment of a cheque of ₹350 was recorded twice in the passbook.
(g) The pass-book showed a credit balance for a cheque of ₹1,000 deposited by Shri Kishan.
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Start your 14-day free trial to unlock the full solution →Begin with the ₹10,000 credit balance as per passbook and adjust for the six passbook errors. Both columns total ₹13,850 and the statement closes at a debit balance as per cash book of ₹12,741.
Concept
These are errors made by the bank in the passbook. For each, we judge whether the passbook balance has been understated (add it) or overstated (deduct it), and the balancing figure gives the balance as per the cash book.
Solution — Bank Reconciliation Statement of Shri Krishan as on March 31, 2017
| Particulars | (+) ₹ | (–) ₹ |
|---|---|---|
| Credit balance as per passbook | 10,000 | |
| Cheque wrongly credited to another customer's account | 500 | |
| Error in carrying forward | 3,000 |
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