\(\begin{array}{c|c} & \text{N} \\ \hline \text{Balance as per cashbook} & 5 467 \\ \hline \text{Uncredited cheques} & 4 410 \\ \hline \text{Unpresented cheques} & 19 404 \\ \hline \text{Cheques wrongly debited by bank} & 1 404 \end{array}\)
The balance as per bank statement is
a
₦21,901
b
₦19,021
c
₦21,109
d
₦21,091
Explanation
Correct Option
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Ijoba_Sheyman
8 years ago

Balance as per adjusted cash book........ 5467
Add unpresented cheque .......19404
Add wrongfully cheque 1404
-------
26275
Less uncredited cheque 4410
-------
Balance as per bank statement. = 21,865

