CA CPT June 2019 Question Paper Fundamentals of Accounting for online practice

© examsiri.com
Question : 17 of 59
 
Marks: +1, -0
The credit balance as per Pass Book of ‘x’ was Rs.65,000. Cheques issued but not paid Rs.75,800. Cheques deposited by one of the customers of bank but wrongly credited in a/c Rs.20,600. The balance as per Cash Book is
Go to Question: