overdraft balance as per cash book 250000 2) cheque deposited 15000 into bank ,out of which cheque of 10,000 collected by March 31 St 2020. 3) cheque issued but not yet presented for payment 2500.4) bill discounted dishonor 5000 interest charges by the bank 500 .5) insurance premium paid by the bank 1500. make bank reconciliation statement .
please give correct answers asap .
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Answer
I am not sure 5000.....