Date |
Particulars |
RM |
Date |
Particulars |
RM |
Dec 1 |
Balance b/d |
20,756 |
Dec 2 |
Cheque No. 801 |
580 |
4 |
DEF Enterprise |
1,000 |
10 |
Cheque No. 802 |
666 |
9 |
Ria Sdn Bhd |
2,000 |
13 |
Cheque No. 803 |
921 |
11 |
Sales |
3,500 |
15 |
Cheque No. 804 |
370 |
14 |
Syarikat Amal |
2,240 |
20 |
Cheque No. 805 |
484 |
19 |
Sales |
3,380 |
25 |
Cheque No. 806 |
219 |
28 |
Sales |
6,290 |
27 |
Cheque No. 807 |
4,000 |
27 |
Cheque No. 808 |
3,680 |
|||
Balance c/d |
28,246 |
||||
39,166 |
39,166 |
A bank statement from the business bank was received on 6 January 2016 showed a different ending balance to the business records.
Dec 14 |
Particulars |
Debit (RM) |
Credit (RM) |
Balance (RM) |
|
1 |
Balance b/d |
20,756 |
CR |
||
2 |
Cheque No. 801 |
580 |
20,176 |
CR |
|
5 |
Deposit |
1,000 |
21,176 |
CR |
|
7 |
Bank Charges |
85 |
21,091 |
CR |
|
10 |
Deposit |
2,000 |
23,091 |
CR |
|
15 |
Cheque No. 803 |
291 |
22,800 |
CR |
|
15 |
Deposit |
2,240 |
25,040 |
CR |
|
17 |
Standing Order |
600 |
24,440 |
CR |
|
20 |
Cheque No. 804 |
730 |
23,710 |
CR |
|
22 |
Cheque No. 112314 |
6,000 |
29,710 |
CR |
|
26 |
Direct Debit |
750 |
28,960 |
CR |
|
29 |
Deposit |
6,290 |
35,250 |
CR |
|
29 |
Cheque No. 807 |
400 |
34,850 |
CR |
|
30 |
Cheque No. 808 |
3,680 |
31,170 |
CR |
Additional information:
Required:
Updated Cash Book
Date |
Particulars |
RM |
Date |
Particulars |
RM |
Dec 1 |
Balance b/d |
20,756 |
Dec 2 |
Cheque No. 801 |
580 |
4 |
DEF Enterprise |
1,000 |
7 10 |
Bank Charges Cheque No. 802 |
85 666 |
9 |
Ria Sdn Bhd |
2,000 |
13 |
Cheque No. 803 |
291 |
11 |
Sales |
3,500 |
15 |
Cheque No. 804 |
730 |
14 |
Syarikat Amal |
2,240 |
17 20 |
Standing order Cheque No. 805 |
600 484 |
19 |
Sales |
3,380 |
25 26 |
Cheque No. 806 Direct debit |
219 750 |
28 |
Sales |
6,290 |
27 |
Cheque No. 807 |
400 |
27 |
Cheque No. 808 |
3,680 |
|||
Balance c/d |
30,681 |
||||
39,166 |
39,166 |
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