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Accounting treatment for post dated cheque
You create an account "PDC Payable A/c" under current liability.
While paying PDC, pass a Journal entry debiting PDC payable A/c and crediting "Rent Payable A/c"
On the day on the cheque clearance or after Bank reconciliation you have to pass the payment entry debiting the Bank A/c and crediting "PDC Payble A/c"
for cheques the entry will be as Dr prepaid expense Cr bank
To account the postdated cheque, you should record the date of each cheques, then you have to record also the amount and check number of the cheque. After that, the cheques should be deposited to accounts for not longer 3 months.