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. Q 3 : Eash student use different numbers of the transactions The following transactions happened in 3 1 / 1 / 2 0 2

.Q3: Eash student use different numbers of the transactions
The following transactions happened in 31/1/2022 in NBB Bank
The beginning balance of the bank accounts as follows
Cash beginning balance: 4000
Current accounts beginning balance: 5000
Debit account beginning balance: 4000
Saving accounts beginning balance 4000
1.31/1/2022 The amount that the bank received cash by the receipt different accounts was 25000 as follows.
13000 BD Current accounts
3000 BD saving accounts.
5000 BD debit accounts
2.31/1/2022 The amounts that the different accounts Withdrawing from bank accounts cash were 200000 as follows.
9000 BD Current accounts
4000 BD saving accounts.
3.31/1/2022 The bank collected the service fees from the bank accounts as follows.
30 BD from current accounts
30 BD from saving accounts.
4. The loans that the bank paid cash to different accounts as follows.
3000 current accounts
Cash 300
Debit account 3000
Requirements:
Record the financial transactions on Gulf bank books
Prepare the ledgers for all accounts and show the balance for each

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