TS Grewal Solutions for Class 11 Accountancy Chapter 9 – Special Purpose Books I – Cash Book
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Question 6.
Record the following transactions in a suitable Cash Book and find out the cash and bank balances:
i. Commenced business with cash Rs.50,000.
ii. Deposited in bank Rs.40,000.
iii. Received cash from Mohan Rs.950.
iv. Bought goods for cash Rs.10,000.
v. Bought goods by cheque Rs.15,000.
vi. Sold goods by cheque for Rs.20,000 and deposited in bank on the same day.
vii. Paid to Arun by cheque Rs.1,900.
viii. Drew from bank for office use Rs.1,000.
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