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Review the document provided below and identify what trust accounting component this is from the list of provided responses Debit Credit Balance $ 38,800.00 Opening
Review the document provided below and identify what trust accounting component this is from the list of provided responses Debit Credit Balance $ 38,800.00 Opening balance 01/04/2011 $ 59,900.00 Deposits from Trust Account Receipt Journal Sub-Total $ 98,700.00 Lens presented cheques from Trust Payment 01434 Journal #1435 #1436 1437 #1438 Transfers Less un presented cheques Total cheques presented $ 1900.00 $1841.00 $ 1823.15 5 485.85 $ 350.00 $ 6.400.00 Closing balance as a 30/04/2019 $92,300.00 Select one: Bank Reconciliation Trust Cheque O Cheque Butt Payment Journal O Trial Balance Trust Account Bank Statement General Bank Account Bank Deposit O Transfer Journal Settlement Statement O Trust Account Receipt 0 Receipts Journal Ledger End of Month Landlord Statement
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