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The following errors were found when the controller at Cullumber Hotel was doing the October 3 1 bank On October 3 , Cullumber recorded a

The following errors were found when the controller at Cullumber Hotel was doing the October 31 bank
On October 3, Cullumber recorded a payment of an account payable as $582. The correct amoun recorded by the bank.
On October 16, Cullumber recorded a deposit as $1,870. The correct amount was $8,170. The de of an account receivable and the bank recorded it correctly.
On October 31, the bank recorded a deposit as $5,350. The correct amount was $3,550. This error on November 1. Cullumber had correctly recorded the deposit.
(a)
For each of these errors, indicate if and how it would be shown on the bank reconciliation.
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