From the following particulars prepare a Bank Reconciliation Statement to find out the causes of difference in two balances as on August 31st, 2016 for Four Star (Pvt.) Ltd. 
(i) Bank Overdraft as per Bank Statement ₹17,000 
(ii) Check issued but not encashed during the August ₹2,200 
(iii) Dividends on shares collected by banker ₹2,300  
(iv) Interest charged by the bank recorded twice in the Cash Book ₹500 
(v) Check deposited as per Bank Statement not entered in Cash Book ₹3,400 
(vi) Credit side of the Bank column in Cash Book cast short ₹1,000 
(vii) Clubs dues paid by bank as per standing instruction not recorded in Cash Book ₹1,200 
(viii) Uncredited check due to outstation ₹3,900 

Dear Student,


Regards,

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