Jadval 6 Penyata Bank) 2017 Credit Balance Debit RM RM RM Nov. Balance bf Standing order- Electricity 11 540 485 2,000 26,355 25,815 25,330 23,330 Standing order -Telecom Standing order -Loan repayment Credit transfer 14 2,300 2,890 25,630 28,520 25,420 27,220 28,020 27,970 29,070 27,110 18 Deposit 18 Choque No 2361 3,100 21 23 Dividend received Deposit 26 Cheque book charges 27 1,800 800 25 50 Deposit 28 L,100 Cheque no 2362 1,960

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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On 1 November 2017, the cash at bank account showed a debit balance of RM25,600.
Razzle-Dazzle Trading had the following transactions during November 2017:
(Pada I November 2017, rekod dalam buku bank menunjukkan baki akhir debit berjumlah RM25,600.
Transaksi untuk Razale-Darele Trading dalam bulan November 2017 adalah seperti berikut:
(a)
Table 5: Cash at Bank Account
(Jadual 5: Akaun Tunai Di Bank
2017
RM
Cash sales banked in
10 Paid ABS Trading choque no 2356
10 Paid fire insurance with cheque no 2357
2,350
1,450
3,000
2,600
1,500
2,890
3,100
1.100
800
1,960
Nov.
13
Paid for machine with cheque no 2359
16 Received cheque for dividends on Trust Sdn Bhd
Received cheque from customer Hani
20 Paid for rent cheque no 2361
Received cheque from customer Moses Tan
25 Received cheque from customer Ziyad
26 Paid supplier Starbid Trading with cheque no 2362
17
24
All transactions were made by cheques. On 3 December 2017, the following bank
statement was received from the bank.
(Semua transaksi adalah dibuat menggunakan cek. Pada 3 Disember 2017, penyata bank yang diserima
adalah superti berikut:)
Transcribed Image Text:On 1 November 2017, the cash at bank account showed a debit balance of RM25,600. Razzle-Dazzle Trading had the following transactions during November 2017: (Pada I November 2017, rekod dalam buku bank menunjukkan baki akhir debit berjumlah RM25,600. Transaksi untuk Razale-Darele Trading dalam bulan November 2017 adalah seperti berikut: (a) Table 5: Cash at Bank Account (Jadual 5: Akaun Tunai Di Bank 2017 RM Cash sales banked in 10 Paid ABS Trading choque no 2356 10 Paid fire insurance with cheque no 2357 2,350 1,450 3,000 2,600 1,500 2,890 3,100 1.100 800 1,960 Nov. 13 Paid for machine with cheque no 2359 16 Received cheque for dividends on Trust Sdn Bhd Received cheque from customer Hani 20 Paid for rent cheque no 2361 Received cheque from customer Moses Tan 25 Received cheque from customer Ziyad 26 Paid supplier Starbid Trading with cheque no 2362 17 24 All transactions were made by cheques. On 3 December 2017, the following bank statement was received from the bank. (Semua transaksi adalah dibuat menggunakan cek. Pada 3 Disember 2017, penyata bank yang diserima adalah superti berikut:)
5 ệ © T O
Table 6: Bank Statement
Jadval 6 Penyata Bank
Balance
RM
2017
Debit
Credit
RM
RM
Balance b/f
9
26,355
25,815
25,330
23,330
Nov.
Standing order - Electricity
11
540
485
Standing order - Telecom
14
Standing order - Loan
repayment
18
2,000
25,630
28,520
25,420
27,220
28,020
27,970
29,070
27,110
2,300
2,890
Credit transfer
Deposit
21
Choque No 2361
23
Dividend received
25
Deposit
26
Cheque book charges
27
Deposit
28
Cheque no 2362
18
3,100
1,800
800
50
1,100
1,960
You are required to answer the following questions:
(Anda dikehendaki menjawab soalan-soalan berikut:
i) Draw up the Cash Book up to date as at 30 November 2017.
[Sediakan buku tunai terkini pada 30 November 2017
i)
Draw up the Bank Reconciliation Statement as on 30 November 2017.
(Sediakan Penyata Penyesualan Bank pada 30 November 2017.
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Add a caption.
Transcribed Image Text:5 ệ © T O Table 6: Bank Statement Jadval 6 Penyata Bank Balance RM 2017 Debit Credit RM RM Balance b/f 9 26,355 25,815 25,330 23,330 Nov. Standing order - Electricity 11 540 485 Standing order - Telecom 14 Standing order - Loan repayment 18 2,000 25,630 28,520 25,420 27,220 28,020 27,970 29,070 27,110 2,300 2,890 Credit transfer Deposit 21 Choque No 2361 23 Dividend received 25 Deposit 26 Cheque book charges 27 Deposit 28 Cheque no 2362 18 3,100 1,800 800 50 1,100 1,960 You are required to answer the following questions: (Anda dikehendaki menjawab soalan-soalan berikut: i) Draw up the Cash Book up to date as at 30 November 2017. [Sediakan buku tunai terkini pada 30 November 2017 i) Draw up the Bank Reconciliation Statement as on 30 November 2017. (Sediakan Penyata Penyesualan Bank pada 30 November 2017. Filters Add a caption.
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