If you start with cash book favorable balance in Bank Reconciliation Statement, which item will be added?

(A) Cheque deposited but not credited by the bank
(B) Cheques omitted to be deposited into bank
(C) Any amount directly collected by bank on behalf of customer but not recorded in cash book
(D) Debit side of cash book was overcast

»Important Links:

English McqsGeneral Knowledge McqsPak Studies Mcqs
Current Affairs McqsCurrent Affairs Mcqs PDFCurrent Affairs of Pakistan
Books PDFNotes PDFIslamic Studies Mcqs

Leave a Reply

Your email address will not be published. Required fields are marked *

error: Content is protected !!