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Numerical Questions · Q2

Q.On March 31, 2017 the cash book showed a balance of ₹ 3,700 as cash at bank, but the bank passbook made up to same date showed that cheques for ₹ 700, ₹ 300 and ₹ 180 respectively had not presented for payment, Also, a cheque amounting to ₹ 1,200 deposited into the account had not been credited. Prepare a bank reconciliation statement.

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✓ Free question

From the cash book balance ₹3,700, add the three un-presented cheques (₹1,180) and deduct the un-credited deposit (₹1,200).

Balance as per pass book = ₹3,680 (matches the NCERT key).

Treatment. The three cheques issued but not presented have reduced the cash book but not the passbook, so the passbook is higher — add. The cheque deposited but not credited has increased the cash book but not the passbook, so the passbook is lower — deduct.

Bank Reconciliation Statement as at March 31, 2017

ParticularsPlus (₹)Minus (₹)
Balance as per Cash Book3,700
Add: Cheques issued but not presented (700 + 300 + 180)1,180
Less: Cheque deposited but not credited1,200
Balance as per Pass Book (balancing figure)3,680
Total4,8804,880

Working Notes

  1. Cheques issued but not presented = 700 + 300 + 180 = ₹1,180.
  2. Balance as per pass book = 3,700 + 1,180 - 1,200 = ₹3,680.
✓Final answer

Balance as per pass book = ₹3,680.

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