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A business is preparing a bank reconciliation and finds the following. $ 3 190 1949 Unpresented cheques Uncredited bankings The cash book has a

 

A business is preparing a bank reconciliation and finds the following. $ 3 190 1949 Unpresented cheques Uncredited bankings The cash book has a debit balance of $5 000. Which adjustments should be made to the cash book balance to reconcile it to the bank statement?

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