Abdullah issued a cheque in favor of Khalid for OMR 1,500/- and left abroad. Khalid presented the cheque in a bank. While processing a cheque you being a bank officer came to know that balance in Abdullah’s account is insufficient. How you are going to deal with this cheque?
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Abdullah issued a cheque in favor of Khalid for OMR 1,500/- and left abroad. Khalid presented the cheque in a bank. While processing a cheque you being a bank officer came to know that balance in Abdullah’s account is insufficient. How you are going to deal with this cheque?
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- Mr. Khalid has a current account in a bank with a credit balance of RO 97,000. He has withdrawn cash of RO 1,000 through ATM machine and paid RO 24,400 to his creditor by cheque. After these transactions his current account balance will be: a. RO 71,600 b. RO 51,600 c. RO 71,400 d. RO 21,600Mr. Salim has started a Biscuit Manufacturing Company and opened a Business bank account in National Bank of Oman and every month end he checks his Cash book maintained by his accountant Mr. Asim in the company with the Bank book maintained by the banker. His Cash Book balance on 31st December 2019, was OMR 12,500, this did not agree with the balance as shown by the Bank Pass Book. In order to know why the balances are not equal in cash book and Bank book Salim asked his accountant Mr. Asim to do detailed Examination of the Cash Book and Bank Statement. It reveals that the company has paid into bank on 26th December, four chequesof OMR 7,000; OMR 10,000; OMR 2,000 and OMR 13,000; of these the cheque of OMR 2,000 was credited in January 2020. One of his customer Ali has paid cheque of OMR 1,500 which is entered in cash book but omitted to be sent to Bank. The Bank has debited Bank Charges in Bank book, not entered in Cash Book OMR 100.As per the instructions of Salim, Bank met a pay…. Mr. Ahmed issued a cheque for RO 5,000 to Mr. Khalid by drawing two cross lines on it, but failed to write words (payee a/c) in between two lines. Do you think Mr. Khalid can get the cash payment on the bank counter? Give reasons.
- Frank forges the signature of his father on a cheque and draws $5,000 from the account. Examine the legal position of the paying bank. Who is the drawer, drawee, payee, and holder of the BoE?Ms. Sara has started a Furniture Manufacturing Company and opened a Business bank account in Bank Muscat and every month end he checks his Cash book maintained by his accountant Mr. Ali in the company with the Bank book maintained by the banker. His Cash Book balance on 31st December 2019, was OMR 22,500, this did not agree with the balance as shown by the Bank Pass Book. In order to know why the balances are not equal in cash book and Bank book Sara asked his accountant Mr. Ali to do detail Examination of the Cash Book and Bank Statement. It reveals that the company has paid into bank on 26th December, four cheques of OMR 7,000; OMR 10,000; OMR 2,000 and OMR 13,000; of these the cheque of OMR 2,000 was credited in January 2020.Sara has invested money in shares of Al Maha Company and the bank has collected dividends and Credited in Bank Book, but not debited in Cash Book OMR 1,750.The Bank has debited Bank Charges in Bank book, not entered in Cash Book OMR 100.As per the instructions…3. Mr. Ahmed issued a cheque for RO 5,000 to Mr. Khalid by drawing two cross lines on it, but failed to write words (payee a/c) in between two lines. Do you think Mr. Khalid can get the cash payment on the bank counter? Give reasons. ( My country Oman)
- Nasser who is maintaining current account in Bank Sohar, Nizwa Souq branch drew a cheque in the name of Mr. Ameen for RO. 5500, he mentioned the date of 27th June, 2021 and it was presented to him on 28th June, 2021. Mr. Ameen has transferred that cheque to Mr. Talal by writing Mr. Talal’s name and making a signature on the back of it. From the above scenario, Explain the parties to a cheque by mentioning their names.5. Mr. Ahmed has purchased goods from Khalid for OMR 1000. Mr. Khalid requested that instead of paying cash, better to issue him a cheque. Mr. Ahmed write a cheque for OMR 1000. Mr. Khalid lost the same cheque while travelling. What procedure is recommended in this situation? Write any four differences between traditional banking and modern banking Why KYC is mandatory for the banks while opening a bank account?On 30 June 2023, Maximo’s cash book showed that he had an overdraft of K300 on his current account at the bank. A bank statement as at the end of June 2023 showed that Maximo was in credit with the bank by K65. On checking the cash book with the bank statement you find the following. (a) Cheques drawn, amounting to K500, had been entered in the cash book but had not been presented. (b) Cheques received, amounting to K400, had been entered in the cash book, but had not been credited by the bank. (c) On instructions from Maximo the bank had transferred interest received on his deposit account amounting to K60 to his current account, recording the transfer on 5 July 2023. This amount had, however, been credited in the cash book as on 30 June 2023. (d) Bank charges of K35 shown in the bank statement had not been entered in the cash book. (e) The payments side of the cash book had been undercast by K10. (f) Dividends received amounting to K200 had been paid direct to the bank and not…
- Suppose a cheque was drawn payable to ‘Badar or order’. it was lost subsequently. Eman found the cheque and presented it to the cashier on the bank counter? Keeping this situation in mind, comment on the following: Will she get the cash? If no, justify? Would your answer be the same, if the cheque was bearer? DiscussSuppose a cheque was drawn payable to ‘Badar or order’. it was lost subsequently. Eman found the cheque and presented it to the cashier on the bank counter. Keeping this situation in mind, comment on the following: Will she get the cash? If no, justifyWould your answer be the same, if the cheque was bearer.Ms Yasai is the sole owner of Bean Sprout Production House. On 31 May 2020, the bank balance in the bank column of Cash Book shows a debit balance of RM8, 540. The bank statement received for the month, however, shows a different balance. The difference was due to the following difference: Cheque number 130060 of RM2, 599 received from MM Enterprise on 29 May 2020 is yet to be credited by the bank. The bank has not credited the cheque (no: 203430) which was received from Heather (trade receivables) amounting to RM1, 677. Cheque (no: 1593280) for RM 650 that was paid to Sofy Trading has yet to be presented. Dividend of RM760 from Basmathi Bhd has not been recorded in the Cash Book. The bank has paid RM1, 050 for the premise’s insurance due to a standing instruction setup by Ms Yasai. Bank charges of RM25 has not been recorded in the Cash Book. Jae, a customer, has settle her debt of RM3, 250 by direct online transfer into Bean Sprout Production House’s account. Cheque (no: 132382) that…