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Chapter 4 Recording of Transactions II Solutions

Question - 21 : - Prepare a double column cash book with the help of following information for December 2016:

 

 

01

Started business with cash

1,20,000

03

Cash paid into bank

50,000

05

Purchased goods from Sushmita

20,000

06

Sold goods to Dinesh and received a cheque

20,000

10

Paid to Smita cash

20,000

14

Cheque received on December 06, 2016 deposited into bank

 

18

Sold goods to Rani

12,000

20

Cartage paid in cash

500

22

Received cash from Rani

12,000

27

Commission received

5,000

30

Drew cash for personal use

2,000

Answer - 21 : -

Cash book

Dr.

Cr.

Date

Receipts

L.F.

Cash

Bank

Date

Payments

L.F.

Cash

Bank

2016

2016

01 Dec

Capital

1,20,000

03 Dec

Bank

C

50,000

03 Dec

Cash

C

50,000

10 Dec

Sushmita

20,000

06 Dec

Dinesh

20,000

14 Dec

Bank

C

20,000

14 Dec

Cash

C

20,000

20 Dec

Cartage

500

22 Dec

Rani

12,000

30 Dec

Drawings

C

2,000

27 Dec

Commission

5,000

31 Dec

Balance c/d

64,500

70,000

1,57,000

70,000

1,57,000

70,000



Question - 22 : - Record the following transactions in a bank column cash book for December 2016:

 

 

01

Started business with cash

80,000

04

Deposited in bank

50,000

10

Received cash from Rahul

1,000

15

Bought goods for cash

8,000

22

Bought goods by cheque

10,000

25

Paid to Shyam by cash

20,000

30

Drew from Bank for office use

2,000

31

Rent paid by cheque

1,000

Answer - 22 : -

Cash book

Dr.

Cr.

Date

Receipts

L.F.

Cash

Bank

Date

Payments

L.F.

Cash

Bank

2016

2016

01 Dec

Capital

80,000

04 Dec

Bank

C

50,000

04 Dec

Cash

C

50,000

15 Dec

Purchases

8,000

10 Dec

Rahul

1,000

22 Dec

Purchases

10,000

30 Dec

Bank

C

2,000

25 Dec

Ram

20,000

30 Dec

Cash

C

2,000

31 Dec

Rent

1,000

31 Dec

Balance c/d

5,000

37,000

83,000

50,000

83,000

50,000



Question - 23 : - Prepare double column cash book from the following information for September 2017:

 

 

 ₹

01

Cash in hand

7,500

 

Bank overdraft

3,500

03

Paid wages

200

05

Cash sales

7,000

10

Cash deposited into bank

4,000

15

Goods purchased and paid by cheque

2,000

20

Paid rent

500

25

Drew from bank for personal use

400

30

Salary paid

1,000

Answer - 23 : -

Cash Book

Dr.

Cr.

Date

Receipts

L.F.

Cash

Bank

Date

Payments

L.F.

Cash

Bank

2017

2017

01 Sep

Balance b/d

7,500

01 Sep

Balance b/d (Overdraft)

3,500

05 Sep

Sales

7,000

03 Sep

Wages

200

10 Sep

Cash

C

4,000

10 Sep

Bank

C

4,000

15 Sep

Purchases

2,000

20 Sep

Rent

500

25 Sep

Drawings

400

30 Sep

Salaries

1,000

30 Sep

Balance c/d (Overdraft)

1,900

30 Sep

Balance c/d

8,800

14,500

5,900

14,500

5,900



 

Question - 24 : - Enter the following transactions in double column cash book of M/s Ambica Traders for November 2017:

 

 

01

Commenced business with cash

50,000

03

Opened bank account with ICICI

30,000

05

Purchased goods for cash

10,000

10

Purchased office machine for cash

5,000

15

Sales goods on credit from Rohan and received cheque

7,000

18

Cash sales

8,000

20

Rohan’s cheque deposited into bank

 

22

Paid cartage by cheque

500

25

Cash withdrawn for personal use

2,000

30

Paid rent by cheque

1,000

Answer - 24 : -

M/s. Ambica Traders
Cash Book

Dr.

Cr.

Date

Receipts

L.F.

Cash

Bank

Date

Payments

L.F.

Cash

Bank

2017

2017

01 Nov

Capital

50,000

03 Nov

Bank

C

30,000

03 Nov

Cash

C

30,000

05 Nov

Purchases

10,000

15 Nov

Rohan

7,000

10 Nov

Office Machine

5,000

18 Nov

Sales

8,000

20 Nov

Bank

C

7,000

20 Nov

Cash

C

7,000

22 Nov

Cartage

500

25 Nov

Drawings

2,000

30 Nov

Rent

1,000

30 Nov

Balance c/d

11,000

35,500

65,000

37,000

65,000

37,000



Question - 25 : - Enter the following transaction in a double column cash book of M/s Mohit Traders for January 2017:

 

 

01

Cash in hand

3,500

 

Bank overdraft

2,300

03

Goods purchased for cash

1,200

05

Paid wages

200

10

Cash sales

8,000

15

Deposited into bank

6,000

22

Sold goods for cheque which was deposited into bank same day

2,000

25

Paid rent by cheque

1,200

28

Drew from bank for personal use

1,000

31

Bought goods by cheque

1,000

Answer - 25 : -

M/s. Mohit Traders
Cash Book

Dr.

Cr.

Date

Receipts

L.F.

Cash

Bank

Date

Payments

L.F.

Cash

Bank

2017

2017

01 Jan

Balance b/d

3,500

01 Jan

Balance b/d (overdraft)

2,300

10 Jan

Sales

8,000

03 Jan

Purchases

1,200

15 Jan

Cash

C

6,000

05 Jan

Wages

200

22 Jan

Sales

2,000

15 Jan

Bank

C

6,000

25 Jan

Rent

1,200

28 Jan

Drawings

1,000

31 Jan

Purchases

1,000

31 Jan

Balance c/d

4,100

2,500

11,500

8,000

11,500

8,000



 

Question - 26 : - Prepare double column cash book from the following transactions for the year December 2017:

 

 

01

Cash in hand

17,500

 

Cash at bank

5,000

03

Purchased goods for cash

3,000

05

Received cheque from Jasmeet

10,000

08

Sold goods for cash

7,000

10

Jasmeet’s cheque deposited into bank

 

12

Purchased goods and paid by cheque

20,000

15

Paid establishment expenses through bank

1,000

18

Cash sales

7,000

20

Deposited into bank

10,000

24

Paid trade expenses

500

27

Received commission by cheque

6,000

29

Paid Rent

2,000

30

Withdrew cash for personal use

1,200

31

Salary paid

6,000

 

Answer - 26 : -

Dr.

Cr.

Date

Receipts

L.F.

Cash

Bank

Date

Payments

L.F.

Cash

Bank

2017

2017

01 Dec

Balance b/d

17,500

5,000

03 Dec

Purchases

3,000

05 Dec

Jasmeet

10,000

10 Dec

Bank

C

10,000

08 Dec

Sales

7,000

12 Dec

Purchases

20,000

10 Dec

Cash

C

10,000

15 Dec

Establishment Expenses

1,000

18 Dec

Sales

7,000

20 Dec

Bank

C

10,000

20 Dec

Cash

C

10,000

24 Dec

Trade Expenses

500

27 Dec

Commission

6,000

29 Dec

Rent

2,000

30 Dec

Drawings

1,200

31 Dec

Salaries

6,000

31 Dec

Balance c/d

8,800

10,000

41,500

31,000

41,500

31,000

For the month ofDecember 2017, the cash in hand is ₹.8, 800 and the cash in bank is 10,000.

 

Question - 27 : - M/s Ruchi trader started their cash book with the following balances on July 2017: cash in hand ₹ 1,354 and balance in bank current account ₹ 7,560. He had the following transaction in the month of July, 2017:

 

 

03

Cash sales

2,300

05

Purchased goods, paid by cheque

6,000

08

Cash sales

10,000

12

Paid trade expenses

700

15

Sales goods, received cheque (deposited same day)

20,000

18

Purchased motor car paid by cheque

15,000

20

Cheque received from Manisha (deposited same day)

10,000

22

Cash Sales

7,000

25

Manisha’s cheque returned dishonoured

 

28

Paid Rent

2,000

29

Paid telephone expenses by cheque

500

31

Cash withdrawn for personal use

2,000

Prepare bank column cash book

Answer - 27 : -

 

Books of M/s. Ruchi Trader

Cash Book

Dr.

Cr.

Date

Particulars

L.F.

Cash

 ₹

Bank

Date

Particulars

L.F.

Cash

 ₹

Bank

2017

2017

Jul.01

Balance b/d

1,354

7,560

Jul.05

Purchases

6,000

Jul.03

Sales

2,300

Jul.12

Trade Expenses

700

Jul.08

Sales

10,000

Jul.18

Motor Car

15,000

Jul.15

Sales

20,000

Jul.25

Manisha (Dishonour)

10,000

Jul.20

Manisha

10,000

Jul.28

Rent

2,000

Jul.22

Sales

7,000

Jul.29

Telephone Expenses

500

Jul.31

Drawings

2,000

Jul.31

Balance c/d

15,954

6,060

20,654

37,560

20,654

37,560

For month of July Cashin Hand is ₹. 15,954 and the Cash in Bank is ₹ 6,060.

 

Question - 28 : - Record the following transactions during the week ending June. 30, 2017 with a weekly imprest ₹ 500

 

 

24

Stationery

100

25

Bus fare

12

25

Cartage

40

26

Taxi fare

80

27

Wages to casual labour

90

29

Postage

80

Answer - 28 : -

 

Petty Cash Book

Amount
Received

Date

Particulars

Voucher
No.

Amount
Paid

Analysis of Payments

Remarks

2017
Jun

 

 

Postage

Telephone
& Telegram

Conveyance

Stationery

Misc.

2017

500

24 Jun

Cash Received

24 Jun

Stationery

100

100

25 Jun

Bus Fare

12

12

25 Jun

Cartage

40

40

26 Jun

Taxi Fare

80

80

27 Jun

Wages

90

90

27 Jun

Postage

80

80

402

80

132

100

90

27 Jun

Balance c/d

98

500

500

98

28 Jun

Balance b/d

402

28 Jun

Cash received



 

Question - 29 : - Prepare petty cash book from the following transactions. The imprest amount is ₹ 2,000.

July
2017

 

01

Paid cartage

50

02

STD charges

40

02

Bus fare

20

03

Postage

30

04

Refreshment for employees

80

06

Courier charges

30

08

Refreshment of customer

50

10

Cartage

35

15

Taxi fare to manager

70

18

Stationery

65

20

Bus fare

10

22

Fax charges

30

25

Telegrams charges

35

27

Postage stamps

200

29

Repair on furniture

105

30

Laundry expenses

115

31

Miscellaneous expenses

100

Answer - 29 : -

 

Petty Cash Book

Amount
Received

Date

Particulars

Voucher
No.

Amount
Paid

Analysis of Payments

Remarks

2017
July

 

 

Postage

Telephone
& Telegram

Conveyance

Stationery

Misc.

2017

2000

01 Jul

Cash received

01 Jul

Cartage

50

50

02 Jul

STD Charges

40

40

02 Jul

Bus fare

20

20

03 Jul

Postage

30

30

04 Jul

Refreshments

80

80

06 Jul

Courier Charges

30

30

08 Jul

Refreshments

50

50

10 Jul

Cartage

35

35

15 Jul

Taxi fare

70

70

18 Jul

Staionery

65

65

20 Jul

Bus fare

10

10

22 Jul

Fax

30

30

25 Jul

Telegram Charges

35

35

27 Jul

Postage

200

200

29 Jul

Furniture Repair

105

105

30 Jul

Laundry

115

115

31 Jul

Misc

100

100

1065

260

105

185

65

450

31 Jul

Balance c/d

935

2,000

2,000

935

01 Aug

Balance b/d

1,065

01 Aug

Cash received

Cash Balance at theend of the week is ₹.935

 

Question - 30 : - Enter the following transactions in the Purchase Journal (Book) of M/s Gupta Traders of July 2017:

01

Bought from Rahul Traders as per invoice no. 20041

 

40 Registers @ ₹ 60 each

 

80 Gel Pens @ ₹ 15 each

 

50 note books @ ₹ 20 each

 

Trade discount 10%.

15

Bought from Global Stationers as per invoice no. 1132

 

40 Ink Pads @ ₹ 8 each

 

50 Files @ ₹ 10 each

 

20 Color Books @ ₹ 20 each

 

Trade Discount 5%

23

Purchased from Lamba Furniture as per invoice no. 3201

 

2 Chairs @ 600 per chair

 

1 Table @ 1,000 per table

25

Bought from Mumbai Traders as per invoice no. 1111

 

10 Paper Rim @ ₹ 100 per rim

 

400 drawing Sheets @ ₹ 3 each

 

20 Packet water colour @ ₹ 40 per packet

From the abovequestion we see that Gupta Traders deals with stationery. On 23rd July the purchase of furniture is toward the use ofcompany and hence, will not be considered as an entry in purchase book.

Answer - 30 : -

 

Books of M/s Gupta Traders
Purchases Book

Date

Invoice
No.

Name of the Supplier
(Account to be credited)

L.F.

Details

Amount

2017

01 Jul

20041

Rahul Traders

40 Registers @ ₹ 60 each

2,400

80 Gel Pens @ ₹ 15 each

1,200

50 Note Books @ ₹ 20 each

1,000

4,600

Less: Trade Discount 10%

(460)

4,140

15 Jul

1132

Global Stationers

40 Ink Pads @ ₹ 8 each

320

50 Files @ ₹ 10 each

500

20 Colour Books @ ₹ 20 each

400

1,220

Less: Trade discount 5%

(61)

1,159

25 Jul

1111

Mumbai Traders

10 Paper rims @ ₹ 100 each

1,000

400 Drawing Sheets @ ₹ 3 each

1,200

20 Packets Water Colour @ ₹ 40 per pack

800

3,000

Purchases Account

8,299

The purchase book doesnot contain a details column but it is included here for helping the studentsunderstand the concept.

 

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