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23. Kemal Enterprise on the 30 of April had a Bank Balance of 512 720 and a Cash Account Balance of $20 850. Use the

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23. Kemal Enterprise on the 30 of April had a Bank Balance of 512 720 and a Cash Account Balance of $20 850. Use the following reconciling items and do a Bank Reconciliation for the company: (30 marks) Deposit in transit, 24/04, $9000 Outstanding check number 204, $2000 Electronic Fund Transfer receipt from customer, $1000 Interest revenue, $30 Bank service charged, $20 Electronic Fund Transfer Payment, $40 None Sufficient Funds Check, $12000 23. Kemal Enterprise on the 30 of April had a Bank Balance of 512 720 and a Cash Account Balance of $20 850. Use the following reconciling items and do a Bank Reconciliation for the company: (30 marks) Deposit in transit, 24/04, $9000 Outstanding check number 204, $2000 Electronic Fund Transfer receipt from customer, $1000 Interest revenue, $30 Bank service charged, $20 Electronic Fund Transfer Payment, $40 None Sufficient Funds Check, $12000

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