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At the end of the second month of trading, the owner of Super Services Pty Ltd prepared the information for a bank reconciliation. The following

At the end of the second month of trading, the owner of Super Services Pty Ltd prepared the information for a bank reconciliation. The following has been provided:

  1. The bank ledger account balance at 30 September 2020 was $54,960 Dr.

  1. The bank statement on 31 October 2020 showed a credit balance of $48,230.

  1. A comparison between the business records and the bank statement highlighted the following:

Entries in the bank statement, which are not in the company's records, follow:

(i)Interest received into the account $140

(ii)Bank fees and charges $39

Entries in the company's cash journals, which are not recorded in the bank statement, follow:

(i)Deposits not appearing in the bank statement $3,420

(ii)Unpresented cheques No. 31 for $989, No. 29 for $865

Other information

(i)Chq no. 96 to a creditor recorded as $160 in the CPJ should be $150 as in the bank statement.

(ii)Other information reveals the total in the Cash Receipts Journal at 31 October 2020 is $27,695, while the total in the Cash Payments Journal at 31 October 2020 is $32,970.

Required:

(a)Update the bank ledger account to reflect all information (i.e., show the updated T-account for Cash at Bank).

Cash receipt journal = ..................................

Cash payment journal = ................................

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