28 July 2019
Hi dear My one question My Accountes cheque received 31march and bank clier 2april how adjustment entery because party accounts closed 31march and bank statement not equal to BOOKS statement Please reply
29 July 2019
Ya ok because I am put up book balance than one problem creat bank statement not tally.
This is my opinion that cheque received but not clear in bank this matter fist steps one ladger creat cheque in hand and group under current assets second steps party accounts CR and cheque in hand DR than party accounts Nil Balance cheque in hand ok than this balance sow balance sheet current assets side and after 31 March cheque in hand account Cr and bank account Dr tally all accounts