1.

In a Cash Book Debit balance of `112 brought forward as credit balance of ` 121, while preparing a Bank Reconciliation Statement taking the balance as per Cash Book as the starting point:

A. 112 to be added
B. 121 to be added
C. 233 to be added
D. 112 to be subtracted
Answer» D. 112 to be subtracted


Discussion

No Comment Found