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The bank reconciliation statement as at 31 March 2020 showed a credit balance per bank statement to the amount of R3 071 and a debit

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The bank reconciliation statement as at 31 March 2020 showed a credit balance per bank statement to the amount of R3 071 and a debit balance per bank account of R4 931. The bank statement showed a favourable balance of R3 091 on 30 April 2020 After all the necessary entries for the differences between the bank reconciliation statement as at 31 March 2020, the cash journals and the bank statement for the month ending 30 April 2020 have been taking into account the totals of the bank columns are as follows: The total of the bank column for the cash receipts journal on 30 April 2020 is R10 047. The total of the bank column for the cash payments journal on 30 April 2020 is R7 397. The balance per bank account in the bank reconciliation statement as at 30 April 2020 is: A. R2 281 (credit) B. R5 721 (credit) . C. R7 581 (debit). D. R5 741 (debit) Reset Selection

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