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In preparing Salims bank reconciliation statement, the accountant noticed that the following items are causing a difference between the cash book balance and bank statement
In preparing Salims bank reconciliation statement, the accountant noticed that the following items are causing a difference between the cash book balance and bank statement balance: (1) Direct debit $530. (2) Lodgements not credited $1,200. (3) Cheque paid in by the company and dishonoured $234. (4) Outstanding cheques $677. (5) Bank charges $100. (6) Error by bank $2,399 (cheque incorrectly credited to the account). Which of these items will require an entry in the cash book?
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