08 February 2013
Dear Sir Please help me to solve this problem regarding PDC Cheques.
I make one cheque on 02/01/13 (bpv Date or cheque written date)and the cheque dated on 03/03/13 (due date). and it is encashed from bank on 05/03/13. so i make reconciliation on excel sheet like this
On Date of Issuing Cheque, No Need to Pass Entry. The Date Printed on Cheque is the Day to be Pass Entry. and reconciled Date is Bank Date on Which Amt encashed.