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Bank Reconcilia...

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  • Question 1
    1 / -0

    Which of the following is false regarding cash book

  • Question 2
    1 / -0

    Which of the following is a contra entry

  • Question 3
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    When there is no information is given about the disposal of received cheque

  • Question 4
    1 / -0

    Which of the following is false regarding Imprest system

  • Question 5
    1 / -0

    Debit balance of a personal account means the person is a _____ of the firm whereas credit balance of a personal account indicated that the person is a _____ of the firm

  • Question 6
    1 / -0

    Which of the following is not a function of Trial balance

  • Question 7
    1 / -0

    The reason for difference in cash book and pass book is

  • Question 8
    1 / -0

    Reasons for the time gap in recording the transactions in the two books (Cash Book and Pass Book) are

  • Question 9
    1 / -0

    Errors committed by the firm which causes difference in cash book and pass book except

  • Question 10
    1 / -0

    Why Bank Reconciliation Statement is prepared

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  • Unanswered - 10

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