CA CPT 2013 Dec Question Paper Fundamentals of Accounting for online practice

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Question : 18 of 60
 
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The credit balance as per pass book of ‘X’ was Rs.65,000. Cheques issued but not paid Rs.75,800. Chequesdeposited by one of the customers of bank but wrongly credited in ‘X’ A/c Rs.20,600. The balance as percash book is _____
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