📌 What Is It?
Matching your book balance with your bank statement balance
🔍 Common Differences:
-
Outstanding cheques
-
Bank charges not recorded
-
Direct credits or payments
📝 Bank Reconciliation Statement:
| Particulars | ₹ |
|---|---|
| Balance as per Bank | 10,000 |
| – Cheques issued but not presented | 1,000 |
| + Deposits not yet recorded | 500 |
| Adjusted Balance | 9,500 |
