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The bank portion of last month's bank reconciliation for Ivanhoe Limited at October 3 1 is shown here: IVANHOE LIMITED Bank Reconciliation October 3 1

The bank portion of last month's bank reconciliation for Ivanhoe Limited at October 31 is shown here: IVANHOE LIMITED Bank Reconciliation October 31. Cash balance per bank Add: $24,70 Deposits in transit $ 3,322 Total: 28,112 Less: Outstanding cheques #2472: $1,350#2473 : $1710. #2474 : $1006. IVANHOE LIMITED Bank Statement November 30 Date : Oct 31:Balance $24,790Nov 1: Description : Cheque, No.2472Amounts Deducted from Account (Debits) : 1,350. Balance :23,440 Nov 1: Description : Deposit Amount Added to Account (Credit) :$3,322 Balance:$26,762Nov 2: Description: Cheque, No.2473Amounts Deducted from Account (Debits) : $1,710 Balance: $25,052Nov 3: Description: Deposit Amount Added to Account (Credits): $2,380Balance: $27,432Nov 4:Description: Cheque, No.2475Amounts Deducted from Account (Debits) : $3,534Balance: $23,898Nov 7 : Description:DepositAmounts Added to Account (Credits) : $2,180Balance $26,078Nov 8: Description: Cheque, No.2476Amounts Deducted from Account(Debits): $6,220Balance : $19,858Nov 10: Description: Cheque, No 2477Amounts deducted from Account (debits) :$1,100Balance: $18,758Nov 15:Description:Deposit Amount added toAccounts (credits) :4,910Balance: $23,668Nov 15:Description: Cheque, No .2478 Amount deducted from Account (debits): $3,500Balance: $20,168Nov 15Description: EFT, Salaries Amount deducted from Account (debits): $7,000Balance :$13,168Nov 20Description: deposit Amount added to account(credits) : $5,890Balance $ 19,058Nov 25 Description: Returned Cheque-NSF, Giassin DevelopmentsAmount deducted from account(debits) : $400Balance : $18,658Nov 25Description: NSF FeeAccount deducted from Account (debits): $80Balance : $ 18,578Nov 26Description: Cheque, No.2479Amount deducted from account (debits) : $1,370Balance : $17,208Nov 27 Description: Deposit Amount added to account (Credits) : $3,200Balance : $20,408Nov 29Description:EFT, collection of note receivable and interest Amounts added to account (credits): $5406Balance :$25814Nov 30Description: Cheque, No: 2481 Amount deducted from account(debits) : $1,082 Balance : $24,732 Nov 30 Description: EFT, Salaries Amount deducted from account (debits): $7,000Balance :$17,732Nov 30Description: Bank service charges Amount deducted from Account (debits): $50Balance :$17,682The cash records per books for November showed the following:Cash Receipts :Date :Nov. 3 : Amount- $2,380 Nov. 7 : Amount -$2,180Nov 12: Amount-$4,810Nov 20: Amount -$5,908Nov 27: Amount - $3,200Nov 30: Amount- $3,635Total Cash Recipts: $ 22,213Cash payments Nov 1 : Cheque Number : 2475Amount: $3,534Nov 2: Cheque Number : 2476Amount : $5,320Nov2:Cheque Number : 2477Amount: $1,100Nov8:Cheque Number: 2478Amount : $3,500Nov15:Cheque Number : 2479Amount: $1,370Nov 15:Number : EFT salaries Amount :7,000Nov 18: Cheque Number : 2480Amount: $1,103Nov 20:Cheque Number : 2481Amount :$ 1,082Nov 29:Cheque Number : 2482Amount : $1,620Nov 30: Number : EFT, Salaries Amount : 7,000 Total Cash Payments = $32,629Additional information: 1. The EFT collection on November 29 was not previously recorded. The collection of the note was for $4,200, plus $1,206 interest. Interest was not previously accrued. 2. EFT payments are recorded when they occur. 3. The bank did not make any errors. 4. Two errors were made by the company: one in recording a cheque and one in recording a cash receipt. The correction of any errors in the recording of cheques should be made to Accounts Payable. The correction of any errors in the recording of cash receipts should be made to Accounts Receivable.

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