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Give three reasons for bank reconciliation?

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Question added by Kila Fomunyuy , Senior Accountant/Business Analyst , AIR LOGISTICS (GSA RWANDAIR)
Date Posted: 2016/03/31
Deleted user
by Deleted user

1.time differ-once cheque issued immediately company book cr the bank but concern person will deposit the cheque later

2.bank any debit made the customer account without getting statement can't made entry in company book's

3.cheque dishonuored/direct inward remittance to bank a/c

Vinay Vinay
by Vinay Vinay , Account Executive , Arshi Infotech Pvt Ltd.

  1. Missing checks or deposits.
  2. Checks were cleared by check number
  3. Bank Service charges

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