Explain about temporary stored procedure?
What is a framework in it?
What do you mean by the term 'normalization'?
Can you get a virus from website?
What is the difference between field and variable in c#?
define fans and explain its types?
Develop a routine to reflect an object about an arbitrarily selected plane.
How to restrict the number of lines to be printed in pig ?
in sap bi we have wad, then why we go for sap bo
Why RPM cum hour meter connection is not possible in water cooled DEA set. Is there any problem in sensing?
Why do we use jstl tags?
How can I use applications with Azure AD that I’m using on-premises?
From the following particulars taken on 31 December, 1995, you are required to prepare a bank reconciliation statement to reconcile the bank balance shown in the Cash Book with that shown in the Pass Book: (i) Balance as per Pass Book on 31 December, 1995, O/D Rs 1,027. (ii) Four cheques drawn on 31 December but not cleared till January are as follows: Rs 12; Rs 1,021; Rs 98; and Rs 113. (iii) Interest on O/D not entered in Cash Book Rs 51. (iv) Three cheques received on 30 December and entered in the bank column of the Cash Book but not lodged in bank for collection till 3 January next: Rs 1,160; Rs 2,100; and Rs 2,080. (v) Cost of cheque book, Pass Book, etc; Rs 1.50 entered twice erroneously in Cash Book in November. (vi) A Bill Receivable for Rs 250 due on 29 December, 1995 was passed to the bank for collection on 28 December, 1990 and was entered in Cash Book forthwith whereas the proceeds were credited in the Pass Book only in January following. (vii) Chamber of Commerce subscription Rs 10 paid by bank on 1 December, 1990 had not been entered in the Cash Book. (viii) Bank charges of Rs 5 had been debited in the pass book twice erroneously. . . . plz be fast
Is nvme better for gaming?
What are the various text formatting options in sapscript?