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Administration Manual - B.E.S.T. Undertaking.

Administration Manual - B.E.S.T. Undertaking.

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Bank Reconciliation Statement is prepared in the following format :-<br />

Amount Amount<br />

Rs.P. Rs. P.<br />

Balance as per Bank’s Certificate .............<br />

Less: (i) Cheques on hand List A ............<br />

(ii) Cheques issued but not<br />

presented to Bank List B<br />

Add : (i) Cheques deposited in bank ..........<br />

but credit not given as<br />

per details given in the<br />

Bank Clearance Register.<br />

(ii) Cheques dishonoured .............<br />

Bank details in respect of which<br />

have remained uncleared as per<br />

details given in dishonoured cheque<br />

register folio No.<br />

(iii) Cheques deposited but held over ...........<br />

by Bank as per details given in<br />

Bank Clearance Register<br />

(iv) Bank Charges debited by Bank<br />

during the month of .......... ...........<br />

Balance as per daily cash<br />

balance book ===== ======<br />

Rupees ( In Words ) ............................................................<br />

OAR SUPDT.CASH CA DIA<br />

1111

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