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Easy Peasy Company has the following information 5,320,000.00 6,500,000.00 8,250,000.00 Balance per Books, 3/31 Receipt per ledger Disbursements per ledger Balance per bank statement, 3/31

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Easy Peasy Company has the following information 5,320,000.00 6,500,000.00 8,250,000.00 Balance per Books, 3/31 Receipt per ledger Disbursements per ledger Balance per bank statement, 3/31 Bank Credits Bank Debits 4,890,000.00 7,800,000.00 6,890,000.00 Deposit in Transit - March 2,475,000.00 Deposit in Transit - April 1,950,000.00 Oustanding Checks - March 800,000.00 Oustanding Checks - April 2,160,000.00 Debit Memo - March 5,000.00 Debit Memo - April 25,000.00 Credit Memo - March 1,250,000.00 Credit Memo - April 1,225,000.00 Error made by the Easy Peasy, double recorded dibursements amounting to P20,000.00 Error made by the bank, a deposit amounting to P800,000.00 made by Issy Pisy was credited to Easy Peasy. 1. Preprere a four column proof of cash. 2. Prepare adjusting entries for April 30

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