MODULE : C Special Accounts CA R.C. Joshi, FCA,CAIIB,LL.B. B.Com(Hons.)
Ch 5 balancing the account and trial balance
E Tutor Presentation - Unit 3 with narration
Cash book
Partnership 1
T3
Bdc 101 06
Process Costing
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Special Accounts: In brief we would cover the following Bank Reconciliation Trial Balance Capital & Revenue Expenditure Inventory Valuation Bills of Exchange.
THE CASH BOOK IS A BOOK OF ORIGINAL ENTRY IN WHICH CASH RECEIPT AND PAYMENT ARE RECORDED. THE RIGHT HAND OF THE CASH BOOK IS THE GIVING SIDE CALLED.