Page 7 - ASSIGNMENT- OTHER BOOKS-1
P. 7
Q10 :
M/s Ruchi trader started their cash book with the following balances on Dec. 01 2005 : cash
in hand Rs 1,354 and balance in bank current account Rs 7,560. He had the following
transaction in the month of December, 2005:
Rs
03 Cash sales 2,300
05 Purchased goods, paid by cheque 6,000
08 Cash sales 10,000
12 Paid trade expenses 700
15 Sales goods, received cheque (deposited same day) 20,000
18 Purchased motor car paid by cheque 15,000
20 Cheque received from Manisha (deposited same day) 10,000
22 Cash Sales 7,000
25 Manisha's cheque returned dishonoured
28 Paid Rent 2,000
29 Paid telephone expenses by cheque 500
31 Cash withdrawn for personal use 2,000
Prepare bank column cash book
Q.11.
Prepare petty cash book from the following transactions. The imprest amount is Rs 2,000.
January Rs
01 Paid cartage 50
02 STD charges 40
02 Bus fare 20
03 Postage 30
04 Refreshment for employees 80
06 Courier charges 30
08 Refreshment of customer 50
10 Cartage 35
15 Taxi fare to manager 70
18 Stationery 65
20 Bus fare 10
22 Fax charges 30
25 Telegrams charges 35
27 Postage stamps 200