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Jamb Accounts - Principles of Accounts Past QuestionsJamb Past Questions and Answers on Bank Transactions and Reconciliation StatementsQuestion 11:Given that the balance as per cash book after necessary adjustment was N4,315, unpresented cheques were N1,688 and the bank statement balance was N4,791, what was the balance of uncredited cheques? A. N1,223 B. N1,212 C. N1,202 D. N1,115 Question 12:Which of the following is used to update the cash book in bank reconciliation? A. Interest received and unpresented cheques B. Commission and debit note C. Unpresented cheques and direct credit D. Interest received and direct credit Question 13:Which of the following is used to update the cash book in bank reconciliation? A. Interest received and unpresented cheques B. Commission and debit note C. Unpresented cheques and direct credit D. Interest received and direct credit Question 14:The receipt whose name appears on a cheque is called a? A. Payer B. Drawer C. Drawee D. Payee Question 15:Yahya,s bank account shows a credit balance of N1500,000. He paid N1700,000 into the bank. What is his expected balance? A. Credit balance of N 200,000 B. Debit balance of N 200,000 C. Credit balance of N 3 200,000 D. Debit balance of N3 200,000 |
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