TS Grewal Accountancy Class 11 Solutions Chapter 7 Special Purpose Books I Cash Book are part of TS Grewal Accountancy Class 11 Solutions. Here we have given TS Grewal Accountancy Class 11 Solutions Chapter 7 Special Purpose Books I Cash Book.
| Board | CBSE | 
| Textbook | NCERT | 
| Class | Class 11 | 
| Subject | Accountancy | 
| Chapter | Chapter 7 | 
| Chapter Name | Special Purpose Books I Cash Book | 
| Number of Questions Solved | 19 | 
| Category | TS Grewal Solutions | 
TS Grewal Accountancy Class 11 Solutions Chapter 7 Special Purpose Books I Cash Book
Question 1.
 Without Goods and Services Tax (GST)
 Enter the following transactions of Mr. Ripinder, Delhi in a Single Column Cash Book and balance it:
 
 Solution:
 

Question 2.
 Prepare Simple Cash Book from the following transactions of Mr. Suresh, Delhi:
 
 Solution:
 

Question 3.
 With Goods and Services Tax (GST)
 Prepare Simple Cash book of Sri Gopal of Amritsar from the following transactions:
 
 Solution:
 

Question 4.
 Prepare Simple Cash Book from the following transactions of Simran, Delhi:
 
 Solution:
 
 

Question 5.
 From the following prepare Single Column Cash Book of Suresh, Chennai and post them into ledger accounts:
 
 Solution:
 

Question 6.
 Without Goods and Services Tax (GST)
 Record the following transactions in Double Columns Cash Book and balance the book on 31st March, 2018:
 
 Solution:
 
Question 7.
 Enter the following transactions in the Double Column Cash Book of M/s. Gupta Store:
 
 Solution:
 
Question 8.
 Prepare Two-column Cash Book of Bimal, Lucknow from the following transactions:
 
 Solution:
 

Question 9.
 Prepare Two-column Cash Book from the following transactions of Mani, Kochi;
 
 Solution:
 

Question 10.
 Prepare Two-column Cash Book of Vinod, Delhi from the following transactions:
 
 Solution:
 

Question 11.
 Enter the following transactions in the Cash Book of Chandrika of Chandigarh:
 
 Solution:
 
 

Question 12.
 Enter the following transactions in Two-column Cash Book of Reema, Chandigarh and find out cash and bank balances:
 
 Solution:
 
 

Question 13.
 Write the following transactions in the Cash Book of Premium Stores, Kolkata (Proprietor Amrit Kumar):
 
 Solution:
 
Question 14.
 Record the following transactions in Two-column Cash Book of Ripple, Delhi:
 
 Solution:
 
 

Question 15.
 Enter the following transactions in Two-column Cash Book of Gaurav, Delhi:
 
 
 Solution:
 
 

Question 16.
 From the following information, prepare an Analytical Petty Cash Book:
 
 Solution:
 
Question 17.
 The following transactions took place during the week ended 28th May, 2018. How will you record them in the Petty Cash Book which was maintained with a weekly ‘float&’ of ₹ 3,000?
 
 Solution:
 

Question 18.
 Sri R maintains a Columnar Petty Cash Book on the Imprest System. The imprest amount is ₹ 5,000. From the following information, show how his Petty Cash Book would appear for the week ended 12th September, 2017:
 
 Solution:
 
Question 19.
 With Goods and Services Tax (GST)
 A Petty Cashier in a firm received ₹15,000 as the petty cash imprest on 4th June, 2017. During the week, his expenses were as follows:
 
 Write up the Analytical Petty Cash Book and draft the necessary Journal entries for the payments made.
 Solution:
 
 
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