accFrom the following particulars, prepare a haw, reconciliation statement, showing the balance as per pass book on 31st March, 1979:The following cheques were paid into firm's current account in March, 1979, but were credited by the bank in April, 1979.. 2,500, . 3,500 and . 1,900.The following cheques were issued by the firm in March, 1979 and are cashed in April, 1979.P= Rs. 2,500, . 4,500 and . 4,000.A cheque of Rs. 1,000 which was received from a customer was entered in; the bank column of cash book in March, 1979. but the sa me was paid into the bank in Awn), 1979. The pass book shows a credit of Rs. 2,500 for interest and debit of Rs.1000 for bank charges. The balance as per cash book was Rs. 1,80,000 on 31st March, 1979.Amity Campus
Roll Number (Reg.No.)
a) Students are required to submit all three assignment sets.
Five Subjective Questions
Three Subjective Questions + Case Study
Objective or one line Questions
b) Total weightage given to these assignments is 30%. OR 30 Marks
c) All assignments are to be completed as typed in word/pdf.
d) All questions are required to be attempted.
e) All the three assignments are to be completed by due dates and need to be
submitted for evaluation by Amity University.
f) The students have to attached a scan signature in the form.
) Tick mark in front of the assignments submitted
This question was answered on: Sep 21, 2023
This attachment is locked
Our expert Writers have done this assignment before, you can reorder for a fresh, original and plagiarism-free copy and it will be redone much faster (Deadline assured. Flexible pricing. TurnItIn Report provided)
Sep 21, 2023EXPERT
We have top-notch tutors who can do your essay/homework for you at a reasonable cost and then you can simply use that essay as a template to build your own arguments.
You can also use these solutions: