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Illustration 6 (where the balance as per cash book is given) From the following information prepare bank reconciliation statement and find the bank balance as
Illustration 6 (where the balance as per cash book is given) From the following information prepare bank reconciliation statement and find the bank balance as per pass book (a) Bank balance as per cash book 370,000 (b) Cheques of 33,000 and 2,000 was issued in December 2018 while cheque of 3000 was presented in the same month while the other cheque was presented in January 2019. (c) Cheques of 5,000 was issued in December 2018 and these cheque were presented into bank in the same month (d) Received cheque of 2,000 in December 2018 and deposited the cheque in the same month Deposited cheque of 40,00 in december 2018 and was dishonoured in January 2019
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