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10 At 31 December a business provides the following information $ 790 credit balance per the cash book balance per the bank statement unpresented cheques

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10 At 31 December a business provides the following information $ 790 credit balance per the cash book balance per the bank statement unpresented cheques 800 debit 30 The only other reconciling item between the cash book and the bank statement is bank charges recorded on the bank statement but not in the cash book How much are the bank charges? B $20 C $30 A $10 D $40

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