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Q.Prepare Bank reconciliation statement from the following information:

(i) Balance as per Cash book - Rs. 22,500
(ii) Cheque issued but not presented for Payment - Rs. 1,600
(iii) Cheque deposited into bank but not collected - Rs. 1,900
(iv) Bank paid Insurance Premium - Rs. 500
(v) Bank Charges - Rs. 30
Himachal HpboseHPBOSE Himachal Class 11 (Commerce) 2026Subjective· 5mImportance★★★★★est
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Beginning with the cash book balance of Rs 22,500, the pass book balance is Rs 21,670.

Bank Reconciliation Statement (starting with balance as per Cash Book)

Balance as per Cash Book 22,500

Add: Cheque issued but not yet presented +1,600

------

24,100

Less: Cheque deposited but not yet collected -1,900

Less: Insurance premium paid by the bank -500

Less: Bank charges -30

------ …

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