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X is carrying out a reconciliation of the bank account in her general ledger with the balance an her bank statement. She has found the following reasons for the difference between the two balances:
(i) some cheques paid to suppliers have not been presented at the bank
(ii) the bank has made charges on X’s account
(iii) a customer has paid ₹ 900 directly into X’s bank account. Which of the above items will require an entry in the cash book?