Self Studies

Bank Reconcilia...

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  • Question 1
    1 / -0

    A schedule showing the items of difference between the bank statement and the bank column of Cash Book is known as

  • Question 2
    1 / -0

    Following items should be added which increase the pass book balance and decrease the cash book balance except

  • Question 3
    1 / -0

    The book in which every account is maintained is

  • Question 4
    1 / -0

    Dr. stands for _____ and Cr stands for _____

  • Question 5
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    ______ is a written document drawn upon a specified banker and payable on demand

  • Question 6
    1 / -0

    In ledger account use the word _____ with accounts which appear on the debit side and _____ on the credit side

  • Question 7
    1 / -0

    Arrange the following sequence of process of recording the transaction
    (a) Identification of financial transactions
    (b) Application of rule of debit and credit
    (c) Analysis of transactions
    (d) Recording the Journal. Options are as follows

  • Question 8
    1 / -0

    Received Rs 3800 from Varun in full settlement of a claim of Rs 4000. This transaction is an example of

  • Question 9
    1 / -0

    Journal entry for Goods distributed as a free sample will be

  • Question 10
    1 / -0

    When cheque received from customer and not deposited into bank same day.Whci account should be debited

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