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Q.Prepare Bank Reconciliation Statement from the following transactions -

(i) Debit balance as per cash book 18,000
(ii) Cheque issued, but not presented for payment in the Bank 5,000
(iii) Interest credited by Bank but not recorded in cash book 1,200
(iv) Debtors directly deposited in Bank 6,000.
Madhya Pradesh MpbseMP Board (MPBSE) Higher Secondary Class 11 (Commerce) 2025Subjective· 3mImportance★★★★★est
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Balance as per Pass Book = Rs. 30,200.

Bank Reconciliation Statement (starting from cash book debit balance):

Balance as per Cash Book (Dr) = 18,000.

Add: Cheque issued but not presented for payment = 5,000.

Add: Interest credited by bank, not in cash book = 1,200. …

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