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Question

Write the following transactions in the Cash Book of Premium Stores, Kolkata (Proprietor Amrit Kumar):
2019
Jan. 1 Commenced business with cash 50,000
Jan. 2 Opened Bank Account and deposited cash in bank 20,000
Purchased goods in cash of ₹ 5,000 plus CGST and SGST @ 6% each 5,000
Jan. 4 Paid wages 500
Jan. 6 Cash sales of ₹ 2,000 plus CGST and SGST @ 6% each 2,000
Purchased goods for ₹ 10,000 plus CGST and SGST @ 6% each for cash
Jan. 10
Sold goods of ₹ 4,000 plus CGST and SGST @ 6% each and payment received by
cheque which is deposited in Bank, allowed cash discount of ₹ 400
Received from Amit 5,900
Allowed him discount 100
Jan. 15 Paid to Bhaskar 2,800
Received discount 200
Jan. 18 Purchased goods from Kanchan, Delhi of ₹ 10,000 plus IGST @ 12%
Jan. 20 Goods were destroyed during transportation, Transport Company settled the claim for ₹ 10,000 in full
Jan. 27 Received cheque from the transport company 10,000
Jan. 28 Withdrew for office use 5,000

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Solution

Cash Book
Dr.
Cr.
Date
Particulars
L.F.
Cash
(₹)
Bank
(₹)
Date
Particulars
L.F.
Cash
(₹)
Bank
(₹)
2019
2019
Jan 01
Capital A/c
50,000
Jan 02
Bank A/c
C
20,000
Jan 02
Cash A/c
C
20,000
Jan 02
Purchases A/c
5,000
Jan 06
Sales A/c
2,000
Jan 02
Input CGST A/c
300
Jan 06
Output CGST A/c
120
Jan 02
Input SGST A/c
300
Jan 06
Output SGST A/c
120
Jan 04
Wages A/c
500
Jan 10
Sales A/c
3,600
Jan 06
Purchases A/c
10,000
Jan 10
Output CGST A/c
240
Jan 06
Input CGST A/c
C
600
Jan 10
Output SGST A/c
240
Jan 06
Input SGST A/c
600
Jan 10
Amit A/c
5,900
Jan 15
Bhaskar A/c
2,800
Jan 27
Transport Co.
10,000
Jan 28
Cash A/c
C
5,000
Jan 28
Bank A/c
C
5,000
Jan 31
Balance c/d
23,040
29,080
63,140
34,080
63,140
34,080

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Q. Enter the following transactions in the Cash Book of Chandrika of Chandigarh:
2019
Jan. 1 Chandrika commences business with cash 1,00,000
Jan. 3 She opened a Bank Current Account with her Savings Account cheque 19,00,000
Jan. 4 She receives cheque from Kirti & Co. on account 60,000
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Jan. 12 Tripathi & Co. pays into her Bank A/c 47,500
Jan. 15 She receives cheque from Warsi and allows him discount ₹ 3,500 45,000
Jan. 20 She receives cash ₹ 7,500 and cheque ₹ 10,000 from Kalyan against credit balance
Jan. 25 She pays into Bank, including cheques received on 15th and 20th January 1,00,000
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Jan. 28 Cheque received from Warsi was dishonoured
Jan. 30 She pays sundry expenses in cash 50
Jan. 30 She pays John & Co. in cash and is allowed discount ₹ 3,500 37,500
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Jan. 31 She purchases goods for cash ₹ 12,500 plus CGST and SGST @ 6% each
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Jan. 31 She receives cheque for commission of ₹ 50,000 plus CGST and SGST @
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