Page 58 - DMGT403_ACCOUNTING_FOR_MANAGERS
P. 58

Unit 3: Sub-division of Journals




          4.   Prepare a Cash Book form the transactions given below:                           Notes
               2006
               July 1    Balance at bank                                      10,000
               July 4    Received a cheque from Pankaj                          5,000
               July 7    Issued a cheque to Rakesh                              6,000
               July 10   Received dividend by bank draft                        2,000
               July 15   Mukesh was paid by issuing a cheque                    1,500
               July 20   Deposited into bank                                    7,000
               July 24   Interest collected by bank                              200
               July 28   Dividend collected by bank                              500
               July 31   Bank charges debited                                    800

          5.   Compose three columns Cash Book from the following transactions:
               2006
               Jan. 1      Cash in hand                                           567
               Jan. 1      Cash at bank                                         12,675
               Jan. 2      Received from Ashish and                              7,900
                           Allowed him a discount                                 100
               Jan. 4      Deposited into the bank                               5,000
               Jan. 6      Furniture purchased for cash                          2,500
               Jan. 7      Paid to Vikas by cheque                               7,800
                           And received discount                                  200
               Jan. 14     Received from Manish by cheque and Deposited into bank   5,000
               Jan.16      Cash Sales                                            8,000
               Jan. 20     Deposited into bank                                   6,000
               Jan. 25     Purchased a Machine and paid by a cheque             12,000
               Jan. 26     Paid by cheque to Kishore                             1,370
                           and received discount                                   30
               Jan. 27     Withdrew from bank for office use                     2,500
               Jan. 28     Purchased goods for cash                              5,000
               Jan. 29     Paid wages by cheque                                  4,500
               Jan. 31     Paid Rent                                              500

          6.   What are the different types of trade bills books?
          7.   Write a short note on the following:
               (a)  Debit Note
               (b)  Credit Note












                                           LOVELY PROFESSIONAL UNIVERSITY                                   53
   53   54   55   56   57   58   59   60   61   62   63