Free now and forever through Sabaq.pk website
For Schools
About Us
Media
Success
Sign In
Free now and forever thru Sabaq.pk website
Cash Book and Bank Reconciliation Statement
Pakistan (E-CAT, M-CAT etc...)
Class 13
Accounting (
Total Videos: 372
)
Preference
All Chapters
Chapter 1: Introduction to Accounting
Chapter 2: Transactions and Accounting Equation
Chapter 3: Analysis of Business Transactions and Double Entry System
Chapter 4: Journal: The Original Book of Entry
Chapter 5: Ledger: The Main Books of Account
Chapter 6: Bills of Exchange
Chapter 7: Special Journals
Chapter 8: Cash Book and Bank Reconciliation Statement
Chapter 9: Journal Proper and Summary of Book Keeping to the Trial Balance
Chapter 10: Final Accounts: The Completion of Accounting Cycle
Chapter 11: Adjustments and their Effects on Final Accounts
Chapter 12: Work Sheet
Chapter 13: Financial Statements
Chapter 14: Capital and Revenue
Chapter 15: Rectification of Errors
Chapter 16: Accounts From Incomplete Records
Chapter 17: Accounts of Non-Profit Making Organizations
Chapter 18: Sole Proprietorship and Partnership
Chapter 19: Depreciation, Provisions and Reserves
Show Content
Select a chapter above and press 'Show Content'. Click a video topic below to view.
Chapter 8 Cash Book and Bank Reconciliation Statement (
22 videos
)
8.1: Cash Book
Introduction to Cash Book
559 views
8.2: Classification of Cash Book
Simple Cash Book
7205 views
Two column Cash Book
2561 views
Posting from Cash Book to concerned Accounts in Ledger
Three Column Cash Book
4204 views
8.3: Opening an Account with a Bank
Opening an Account with a Bank
117 views
Accounting Treatment of Cheques
226 views
Dishonor of Cheques
877 views
Some Special Banking Transactions
71 views
More on Some Special Banking Transactions
56 views
8.4: Bank Reconciliation Statement
What is Bank Reconciliation Statement?
935 views
Distinction between Cash book and Pass Book
13249 views
Preparation of Pass Book
1451 views
8.5: Recording Transactions in Cash Book and Pass book
What is Meant by 'Reconciliation'?
171 views
8.6: Different causes of Disagreement
Causes of Disagreement between Cash Book and Pass Book
1877 views
8.7: Preparation of Bank Reconciliation Statement
Bank Reconciliation Statement: When favorable Cashbook Balance is given
1266 views
Bank Reconciliation Statement: When Pass Book Balance is given.
363 views
Bank Reconciliation Statement: When unfavourable Cash Book Balance is given.
414 views
Bank Reconciliation Statement: When unfavorable Pass Book Balance is given
193 views
8.8: The Petty Cash Book
Systems of Petty Cash Accounting
141 views
The Petty Cash Book
231 views
Problem: Petty Cash Book
506 views
Facebook
Twitter
Instagram
Youtube
Linkedin