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acoounting A review of the April 30, 2021 bank statement and other data of Suria Company reveals the following: 1. Cash balance per book as

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acoounting

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A review of the April 30, 2021 bank statement and other data of Suria Company reveals the following: 1. Cash balance per book as at April 30, AED6,053. 2. AED2,450 note receivable was collected by the bank for Suria Company on April 30, plus AED65 interest. The bank charged collection fee of AED35. 3. NSF check from Ghazali in payment of account amounted to AED1, 750, 4. Cash balance per bank as at April 30, AED7,580. 5. Outstanding checks at April 30 amounted to AED2,330. 6. Bank service charge for the month is not recorded by the depositor amounted to AED53. 7. Deposits in transit at April 30 were AED1,480. REQUIRED: Prepare bank reconciliation for Suria Company as at April 30, 2021. (8 E 1 B I Ff H A

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