1.6.4 Other Branch Cheque - Inter Branch Transaction

The accounting entries for in house cheque deposit from other branch cheque through inter branch transaction are covered in this section.

Table 1-42 In House Cheque Deposit from other branch cheque - Inter Branch Transaction

Posting Date Value Date Transaction Branch Account Branch GL HeadDr./Cr. TCY Amount(GBP) LCY Amount(GBP) Exchange Rate Remarks
20.09.22 20.09.22 000 500 Dr. CASA A/c (Account A) 100 100 1 OBBRN
20.09.22 20.09.22 000 500 Cr. Inter Branch A/c 100 100 1 OBBRN
20.09.22 20.09.22 000 000 Dr. Inter Branch A/c 100 100 1 OBBRN
20.09.22 20.09.22 000 000 Cr. ISB GL 100 100 1 OBBRN
20.09.22 20.09.22 000 000 Dr. ISB GL 100 100 1 OBPM
20.09.22 20.09.22 000 000 Cr. Susp GL 100 100 1 OBPM
20.09.22 20.09.22 000 000 Dr. Susp GL 100 100 1 OBPM
20.09.22 20.09.22 000 000 Cr. CASA A/c (Account B) 100 100 1 OBPM