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Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:
  • a)
    Rs. 5,580
  • b)
    Rs. 5,480
  • c)
    Rs. 4,520
  • d)
    Rs. 5,520
Correct answer is 'B'. Can you explain this answer?
Most Upvoted Answer
Balance as per Cash Book is Rs. 5,000. Cheques issued but not presente...
Bal. as per Cash book(Dr.) 5000 Add: cheque issued but not presented 2000 {reason: Previously deducted from CB but not in PB)Less: cheque not collected yet by bank (1500) {reason: Previously added to CB but not in PB)Less: Wrong dr. By bank(wrongly deducted) (20) {reason: Wrong dr. In PB but not in CB) Therefore, Cr. Balance as per PB : 5480/-
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Balance as per Cash Book is Rs. 5,000. Cheques issued but not presente...
Balance as per cash book dr.) = 5000. then cheque issue kiya but pass book me uski entry nhi hui, isliye add krenge 2000. Aur cheque bank me collection ke liye bheja but bank ne collect nhi kiya, isliye minus krenge. And third me, bank ne glti se 20 rs. dr. kr di hmare ac me yani pass book me, so usko bhi minus krenge cash book me. So then the balance will be, B) Rs. 5,480..
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Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer?
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Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer? for CA Foundation 2024 is part of CA Foundation preparation. The Question and answers have been prepared according to the CA Foundation exam syllabus. Information about Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer? covers all topics & solutions for CA Foundation 2024 Exam. Find important definitions, questions, meanings, examples, exercises and tests below for Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer?.
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Here you can find the meaning of Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer? defined & explained in the simplest way possible. Besides giving the explanation of Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer?, a detailed solution for Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer? has been provided alongside types of Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer? theory, EduRev gives you an ample number of questions to practice Balance as per Cash Book is Rs. 5,000. Cheques issued but not presented for payment Rs. 2,000 and Cheques sent for collection but not collected Rs. 1,500. The Bank had wrongly debited the account of firm by Rs. 20. Balance as per pass book will be:a)Rs. 5,580b)Rs. 5,480c)Rs. 4,520d)Rs. 5,520Correct answer is 'B'. Can you explain this answer? tests, examples and also practice CA Foundation tests.
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