Tag: subsidiary books - 2
Questions Related to subsidiary books - 2
Rent outstanding for the month of February will appear_________.
Withdrawl column of the Pass Book showed a wrong entry of Rs. 112. When the balance as per Cash Book is the starting point __________.
A debit balance of Rs. 1,000 has been brought forward as a credit balance of Rs. 100 on the next page in the Pass Book. To ascertain the balance as per Cash Book _______________________.
One outgoing cheque of Rs. 112 recorded as Rs. 121 in the Cash Book. (Note: This cheque was presented in the Bank). When the balance as per Cash Book is the starting point.
Debit balance in cash book means __________.
Cash paid to Creditors needed for the construction of cash account can be ascertained from __________________ .
The amount listed for cash in the trial balance represents __________________.
In analytical petty cash book, for what purpose separate column is provided?
The balance in petty cah book represents ____________ .
Journal entry on submission of accounts by the petty cashier is :-
Petty Cash A/c Dr.
To Expenses A/c