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CASH BOOK ( BANK ACCOUNT ) table [ [ Date , Transaction,RM , Date,Transaction,RM ] , [ Sep 1 , Rent, 9 0 0
CASH BOOK BANK ACCOUNT
tableDateTransaction,RMDate,Transaction,RMSep Rent,Sep Balance btSales,Maju,Nur,Masam Mans BhdSyaiful,Desa Enterprise,MKJ Sdn BhdKim,KYL BhdMotor Tan,Dev Shop,SYT BhdPurchased,Balance bf
BANK STATEMENT
tableDateTransaction,tableDebitRMtableCreditRMtableBalanceRMSep Balance bfCheques Commission,,Cheques Insurance Standing OrderBank charge,Cheque Cheque Cheque Cheque Deposit,,Cheque Deposit,,Cheque Cheque
Additional information:
i Cheque received on Sept was returned by the bank
ii Cheque no is an error in the cash book
You are required to :
a Prepare un updated cash book as at September
b Prepare a bank reconciliation statement as at September
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