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Numerical Questions · Q4

Q.Bank balance of ₹ 40,000 showed by the cash book of Atul on December 31, 2016. It was found that three cheques of ₹ 2,000, ₹ 5,000 and ₹ 8,000 deposited during the month of December were not credited in the passbook till January 02, 2017. Two cheques of ₹ 7,000 and ₹ 8,000 issued on December 28, were not presented for payment till January 03, 2017. In addition to it bank had credited Atul for ₹ 325 as interest and had debited him with ₹ 50 as bank charges for which there were no corresponding entries in the cash book. Prepare a bank reconciliation statement as on December 31, 2016.

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From the cash book balance ₹40,000, add the two un-presented cheques (₹15,000) and interest (₹325); deduct the three un-collected deposits (₹15,000) and bank charges (₹50).

Balance as per pass book = ₹40,275 (matches the NCERT key).

Treatment. Cheques issued but not presented and interest credited by the bank make the passbook higher — add. Cheques deposited but not collected and bank charges make the passbook lower — deduct.

Bank Reconciliation Statement as on December 31, 2016

ParticularsPlus (₹)Minus (₹)
Balance as per Cash Book40,000
Add: Cheques issued but not presented (7,000 + 8,000)15,000
Add: Interest credited by the bank325
Less: Cheques deposited but not credited (2,000 + 5,000 + 8,000)15,000
Less: Bank charges50

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