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Austins cash book showed credit balance of $ 36080 on June 30 1987 whereas the bank statement received from his bank showed a credit balance

Austins cash book showed credit balance of $ 36080 on June 30 1987 whereas the bank statement received from his bank showed a credit balance of $ 49320 on the same date. The following differences were discovered:-

a) Cheques totaling 61450 issued by Austin did not appear in the bank statement.

b) Cheques totaling 39450 deposited on the last day of the month were credited by the bank on 5th July, 1987.

c) Bank charges for the month amounted to $ 2410

d) The bank made payments of $ 8000 to Austins land lord and another of $ 2000 to an insurance company as per his standing orders.

e) A cheque for 6050 deposited on June 23 1987 was returned unpaid by the bank on July 4 1987.

f) A debtor remitted $ 9700 direct to Austins account

Required;

Prepare a bank reconciliation statement (10marks)

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