22. From the following information, prepare Bank Reconciliation Statement as on 31st March, 2024:

  

(i)

Bank overdraft as per Pass Book

36,000

(ii)

Cheques issued but not presented for payment

19,700

(iii)

Cheques deposited with bank but not collected

25,000

(iv)

Cheques entered in Cash Book but not banked

9,000

(v)

Directly deposited to bank by a customer

11,000

T.S.Grewal/Session 2024-25/Practical Problems/Q-22

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