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Reconcile the ledger balance with Bank statement balance for March 2 0 2 2 a ) cheques issued to suppliers for $ 1 , 6
Reconcile the ledger balance with Bank statement balance for March
a cheques issued to suppliers for $ but nor cleared at the bank
b Interest of $ on balance paid by the bank, no entry eas recorded in the ledger
c Salary cheques for $ were issued, but only $ were cleared at the bank
d Customer directly deposited $ in the bank, but no information was provided.
e Cheque received for $ but entered as $ in the cash ledger
f Manager withdrew cash of $ for office use, but forgot to tell the acocuntant.
Ledger balance on st March was $ and Bank statement balance was $
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