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 The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques issued but not presented for payment Rs. 75,800. Cheques deposited by one of the customers of the bank but wrongly credited in Mr. X account Rs. 20,600. The balance as per cash book will be:-
  • a)
    Rs. 30,800 Debit 
  • b)
    Rs. 30,800 overdraft 
  • c)
    Rs. 1,20,800 Debit 
  • d)
    Rs. 10,400 overdraft.
Correct answer is option 'B'. Can you explain this answer?
Most Upvoted Answer
The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques i...
Calculation of Cash Book Balance

Credit balance as per pass book = Rs. 65,600
Cheques issued but not presented for payment = Rs. 75,800
Cheques deposited by a customer but wrongly credited in Mr. X account = Rs. 20,600

To calculate the balance as per cash book, we need to adjust the above items in the credit balance as per pass book.

Step 1: Adjust the cheques issued but not presented for payment
Credit balance as per pass book = Rs. 65,600
Less: Cheques issued but not presented for payment = Rs. 75,800
Adjusted balance = Rs. (10,200) (overdraft)

Step 2: Adjust the cheques deposited by a customer but wrongly credited in Mr. X account
Credit balance as per pass book = Rs. (10,200) (overdraft)
Add: Cheques deposited by a customer but wrongly credited in Mr. X account = Rs. 20,600
Adjusted balance = Rs. 10,400 (overdraft)

Therefore, the balance as per cash book will be Rs. 10,400 (overdraft).
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Community Answer
The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques i...
The target is cash book but the entries of that they are making the target down so the cash book is overdraft.
balance as per passbook. =65600
(-)cheques issued but not presented =75800
(-)wrongly credit to pass book =20600
overdraft balance as per cash book=(30800)
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The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques issued but not presented for payment Rs. 75,800. Cheques deposited by one of the customers of the bank but wrongly credited in Mr. X account Rs. 20,600. The balance as per cash book will be:-a)Rs. 30,800 Debitb)Rs. 30,800 overdraftc)Rs. 1,20,800 Debitd)Rs. 10,400 overdraft.Correct answer is option 'B'. Can you explain this answer?
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The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques issued but not presented for payment Rs. 75,800. Cheques deposited by one of the customers of the bank but wrongly credited in Mr. X account Rs. 20,600. The balance as per cash book will be:-a)Rs. 30,800 Debitb)Rs. 30,800 overdraftc)Rs. 1,20,800 Debitd)Rs. 10,400 overdraft.Correct answer is option '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 The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques issued but not presented for payment Rs. 75,800. Cheques deposited by one of the customers of the bank but wrongly credited in Mr. X account Rs. 20,600. The balance as per cash book will be:-a)Rs. 30,800 Debitb)Rs. 30,800 overdraftc)Rs. 1,20,800 Debitd)Rs. 10,400 overdraft.Correct answer is option '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 The credit balance as per pass book of Mr. X was Rs. 65,600. Cheques issued but not presented for payment Rs. 75,800. Cheques deposited by one of the customers of the bank but wrongly credited in Mr. X account Rs. 20,600. The balance as per cash book will be:-a)Rs. 30,800 Debitb)Rs. 30,800 overdraftc)Rs. 1,20,800 Debitd)Rs. 10,400 overdraft.Correct answer is option 'B'. Can you explain this answer?.
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