📖 generic · CBSE Class 11 English medium · ACCOUNTANCY · Page 42question

complete process of recording the transactions, posting to ledger and balancing · Part 7

Chapter 4: Recording of Transactions-II · ACCOUNTANCY

: Commenced business with cash , Opened bank account with ICICI , Purchased goods for cash , Purchased office machine for cash , Sales goods on credit from Rohan and received chaeque , Cash sales , Rohan’s cheque deposited into bank Paid cartage by cheque Cash withdrawn for personal use Paid rent by cheque , ( Ans. Cash in hand Rs. , , Cash at bank Rs. , ) .

Prepare double column cash book from the following information for September : Cash In hand , Bank overdraft , Paid wages Cash sales , Cash deposited into bank , Goods purchased and paid by cheque Paid rent Drew from bank for personal use Salary paid , ( Ans. Cash in hand Rs. , , Bank overdraft Rs. , ) .

Enter the following transaction in a double column cash book of M/s.Mohit Traders for January : Cash in hand , Bank overdraft , Goods purchased for cash , Paid wages Cash sales , Deposited into bank , Sold goods for cheque which was deposited into bank same day Paid rent by cheque , Drew from bank for personal use , Bought goods by cheque , ( Ans. Cash in hand Rs. , Cash at bank Rs. , ) .

Prepare double column cash book from the following transactions for the year December : Cash in hand , Cash at bank , Purchased goods for cash , Received cheque from Jasmeet , Sold goods for cash , Jasmeet’s cheque deposited into bank Purchased goods and paid by cheque , Paid establishment expenses through bank , Cash sales , Deposited into bank , Paid trade expenses Received commission by cheque , Paid Rent Withdrew cash for personal use , Salary paid , ( Ans. Cash in hand Rs. , cash at bank Rs. , ) .

M/s Ruchi trader started their cash book with the following

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