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Q.

Prepare Bank Reconciliation statement as on 31-3-2019.

Particulars₹
(i)Balance as per cash book3,700
(ii)Cheque issued but not presented1,800
(iii)Cheque deposited but not collected2,200
(iv)Bank charges debited by bank250
Kerala DhseKerala DHSE Plus One Commerce Board 2024Subjective· 4mImportance★★★★★
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Start with cash book balance ₹3,700; add cheque issued but not presented ₹1,800; deduct cheque deposited but not collected ₹2,200; deduct bank charges ₹250 → Balance as per pass book ₹3,050.

Reasoning (starting from cash book balance, favourable/Dr.)

  • Cheque issued but not presented: the bank has not yet paid it, so the pass book balance is higher → add.
  • Cheque deposited but not collected: the bank has not yet credited it, so the pass book balance is lower → subtract.
  • Bank charges debited by bank: already reduced in the pass book but not yet in the cash book → subtract.

Bank Reconciliation Statement as on 31-3-2019

ParticularsPlus (₹)Minus (₹)
Balance as per Cash Book3,700
Add: Cheque issued but not presented1,800

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