Bank Reconciliation Statement


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Quick Summary
This discussion addresses an issue with a bank reconciliation statement where the brought forward balance should be Rs. 639, but Rs. 450 was incorrectly shown on the debit side of the amended cash book. The user is seeking assistance with calculating the correct adjustment for Illustration 9 on page 164, relevant to the 11th Commerce CBSE board syllabus. A request has been made for a complete screenshot of the question to provide a full understanding and solution.

23 April 2020 Point no. 9= The balance brought forward should have been Rs. 639.
Solution = Adjusted of balance brought forward Rs. 450 shown on debit side of amended cash book.
Illustration number 9 page number 164
11th commerce CBSE board
Unable to calculate this amount please do help

06 May 2020 Please post the Complete Screenshot of the Question for full understanding.

25 May 2020 Please post the Complete Screenshot of the Question for full understanding.


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