CA CPT Model Test Paper 7 with solutions for online practice
© examsiri.com
Question : 59 of 200
Marks:
+1,
-0
Bank balance as per cash book as on 31/03/2016 = 20,000rs .Consider the following transaction and decide the balance as per adjusted cash book:
* Cheques deposited but not yet collected ₹ 2000
* Wrong credit given by bank ₹ 15,000
* Bank charges charged by bank but not recorded in the cash book ₹ 1250
* Cheques deposited but not yet collected ₹ 2000
* Wrong credit given by bank ₹ 15,000
* Bank charges charged by bank but not recorded in the cash book ₹ 1250
Go to Question: