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On 28 Feb 2019, Ms. Underwoods cash account showed a debit balance of 30,680. On the same date the bank statement showed a credit balance

On 28 Feb 2019, Ms. Underwoods cash account showed a debit balance of 30,680. On the same date the bank statement showed a credit balance of 14,130. On investigation, it was discovered that:

  • Bank charges, 60, had not been entered in the cash account.
  • Cheques drawn by Underwood, 452, had not been presented for payment
  • Standing orders, 1,240, had not been entered in the cash account
  • A cheque drawn by Underwood, 460, had been entered in the cash account as 550
  • A cheque for, 880, issued by Underwood, had been omitted from the cash account
  • Underwood had brought down the opening balance of 6,586 as a debit balance instead of a credit balance.
  • A credit customers cheque, 300, had been dishonoured by the bank.
  • Lodgements, 1,970, on 27 February had not been credited by the bank.
  • Underwood had not entered receipts of 530 in the cash account

You are required to:

  • Adjust Ms. Underwoods cash account as necessary.
  • Prepare a bank reconciliation statement as at 28 February 2019.

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