381. The Bank Reconciliation Statement is prepared?
✅ D. To bring out the reasons for the difference between the Balance as per Cash Book and the Balance as per Bank Statement
Option A : To rectify the mistakes in the Cash Book Option B : To arrive at the Bank Balance Option C : To arrive at the Cash Balance Option D : To bring out the reasons for the difference between the Balance as per Cash Book and the Balance as per Bank Statement Correct Answer : To bring out… Read more