Please help me answer this.
Problem 5 Indicate how each of the following items will be treated in a proof of cash. Write only the pair of letters corresponding to your answers. A. Add to May 31 bank balance Add to May 31 book balance B. Deduct from May 31 bank balance Deduct from May 31 book balance C. Add to June bank receipts K. Add to June book receipts D. Deduct from June bank receipts L. Deduct from June book receipts E. Add to June bank disbursements M. Add to June book disbursements F. Deduct from June bank disbursements N. Deduct from book disbursements G. Add to June 30 bank balance O. Add to June 30 book balance H. Deduct from June 30 bank balance P. Deduct from June 30 book balance Deposits in transit, May 31 WNE Deposits in transit, June 30 Outstanding checks, May 31 Outstanding checks, June 30 Bank service charges in May, recorded by the audit client in June Bank service charges in June, recorded by the audit client in July Bank credit memo in May, recorded by the audit client in June Bank credit memo in June, recorded by the audit client in July ) Erroneous bank credit in June, subsequently charged in July 10) Erroneous bank credit in May, subsequently charged in June 11) Erroneous bank credit in June, subsequently charged in June 12) Erroneous bank charge in May, corrected by a credit in June 13) Erroneous bank charge in June, corrected by a credit in July 14) Erroneous bank charge in June, corrected by a credit in June 15) Check issued in May for P20,000, recorded by the client as P2,000. Error was corrected in June. 16) Check issued in May for P25,000, recorded by the client as P52,000. Error was corrected in June. 17) Check issued in June for P20,000, recorded by the client as P2,000. Error was corrected in June. 18) Customer's DAIF check returned by the bank in May. Client recorded it in June. 19) Customer's DAIF check returned by the bank in June and subsequently redeposited in June. Client makes no entry for the return or the redeposit. 20) Check written in June as a disbursement. Client was able to issue the check in July