Q. The balance as per bank statement of a company is `12,000 (Dr.). The company deposited two cheques worth `9,500, out of which one cheque for `2,300 was dishonoured which was not entered in the cash book. The credit balance as per cash book is (Solved)
1. 21,000 ;
2. 15,300 ;
3. 23,800 ;
4. 9,700
- d. 9,700