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Paul Consulting is trying to prepare its bank reconciliation statement. For this purpose, the following data is available: 1. The balances as per two books

Paul Consulting is trying to prepare its bank reconciliation statement. For this purpose, the following data is available:

1. The balances as per two books as at 30 September 2022 are as follows:

Bank Statement Balance $28 507 (Credit) Cash at Bank Account Balance $27 271 (Debit)

2. The receipts of $1 092 have not been deposited.

3. The given data reveals that the cheques of $2 081 were issued but not presented.

4. A deposit from another customer for $450 was incorrectly credited into the bank account of Paul Consulting.

5. A cheque for the amount of $188 was returned marked dishonoured.

6. Bank charges of $15 appeared in the bank statement.

Required: Prepare a bank reconciliation for Paul Consulting at 30 September 2022.

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