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Cash at the bank has a debit Balance of 4,500 on the 30th of November 2018. A cheque from a customer of 2,000 has been

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Cash at the bank has a debit Balance of 4,500 on the 30th of November 2018. A cheque from a customer of 2,000 has been recently paid into the bank but has not been processed. The payment of 6,200 has been made by the business to suppliers and others but has not been presented to the bank for payment. Bank charges of 700 Cheque for a customer of 300 has been dishonoured Balance in the accounts from the bank statement totals up to 7,700 Create a bank reconciliation statement for November

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