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Numerical Questions · Q5
Q.

Prepare a double column cash book with the help of following information for December 2016:

DateParticulars₹
01Started business with cash1,20,000
03Cash paid into bank50,000
05Purchased goods from Sushmita20,000
06Sold goods to Dinker and received a cheque20,000
10Paid to Sushmita cash20,000
14Cheque received on December 06, 2016 deposited into bank—
18Sold goods to Rani12,000
20Cartage paid in cash500
22Received cash from Rani12,000
27Commission received5,000
30Drew cash for personal use2,000
Yanam CbseNCERTSubjective· 5mImportance★★★★★est
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Capital ₹1,20,000 cash; Dinker's cheque sits in the Cash column until banked on the 14th (a contra). Credit purchase/sale are ignored. Closing cash ₹64,500, bank ₹70,000.

Concept & treatment. A cheque received and kept in hand is treated as cash, so it is debited in the Cash column. Depositing it later is a contra (credit Cash, debit Bank). Purchases from Sushmita on credit and the credit sale to Rani do not involve cash/bank, so they stay out of the cash book.

Double Column Cash Book — December 2016

DateReceipts (Dr.)L.F.Cash (₹)Bank (₹)DatePayments (Cr.)L.F.Cash (₹)Bank (₹)
Dec 01To Capital A/c1,20,000Dec 03By Bank A/cC50,000
Dec 03To Cash A/cC50,000Dec 10By Sushmita20,000
Dec 06To Sales A/c20,000Dec 14By Bank A/cC20,000
Dec 14To Cash A/cC20,000Dec 20By Cartage A/c500
Dec 22To Rani12,000Dec 30By Drawings A/c2,000
Dec 27To Commission A/c5,000Dec 31By Balance c/d64,50070,000

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