Answer Posted / ashu
it means match bank balance with pass book balance which
appeared in the companies cash book or pass book..............
| Is This Answer Correct ? | 7 Yes | 0 No |
Post New Answer View All Answers
is WCT aplicable on educational institutions also??????
What are the items that are to be debited in accounting and what are the items that are to be credited in accounting?
What is the master account?
How to pass accounting entry for a tender cost and under which head? and how to show joint venture in venture's accounting books?under which head?
In which term & condition excise invoice raises & for what excise invoice raise?
why are accounting firms needed?
Anti Takeover policies
what is tribal area allowance means
There are two Business areas 1100 and 1200. I need to pick 1200 b.areaonly While enter the transaction? could any one please post the answer for this.
What are the reasons which cause pass book of the bank and your bank book not tally?
what is the process of cenvat credit taken in service tax( in direct & indirect service)
My company was granted a bank facility of 750,000 for guarantee, performance bond, advance payment, retention guarantee and 100,000 bank overdraft. These facility amount was never added to the company account. a. What is the entry? b. Lien over fixed deposit for 50,000 to be brought upfront c. Lien over gradual buildup for fixed deposit 50,000 by transferring 10,000 monthly from customer's account to separate call account. d. After a month, we had an overdraft of 22,000. What will be my entry? e. After 3 months, we have a construction project and was asked for advance payment of 24,000 with a 25% margin? f. Another company asked for performance bond of 44,200 with 25% margin.
GOODS LOST BY FIRE 100 RS, INSURANCE MONY RECEIVED 120,40 PENDING FOR FINAL SETTLEMENT- Journal Entry
How do you handle rejection?
what is the journal entry can be passed for an opening balance (bank, fixed asset, provisions)to the new software