(a) Give reasons why the bank balance in the cash book may differ from that in the...
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(a) Give reasons why the bank balance in the cash book may differ from that in the bank statement at the same date.
(b) Give the three stages involved in reconciling the bank balance as per the cash book with that in the bank statement.
(c) State the sources from which entries will be made in (i) the sales ledger control account; (ii) the purchases ledger control account.
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