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The following information is needed in order to prepare the Bank Reconciliation Statement as at 30 June 20x5, for John's Repair Services. 1) The balance
The following information is needed in order to prepare the Bank Reconciliation Statement as at 30 June 20x5, for John's Repair Services. 1) The balance of the Cash at Bank account of John's Repair Services was $3,431 debit on 30 June 20x5. 2) The bank statement showed a credit balance of $2,062.80 on 30 June 20x5. 3) A deposit made on 30 June did not appear on the bank statement, $1,311. Cheques not yet presented to the bank for payment but already recorded in the cash journal: No. 247 $ 228.80 No. 248 $ 800.00 5) The bank statement showed bank fees charged for June of $30. 6) Interest received in the amount of $124 appeared only on the bank staten 7) A receipt from a debtor, M. Fast, was incorrectly entered in the cash receipts journals as $458. The amount was correct on the bank statement, $498. 8) $1,220 cheque was returned marked 'dishonoured'. The cheque had been received from a customer Dodgy D. Required: Answer Questions 3(a) and 3 (b) below: tement. Question 3(a) (7 Marks) Prepare and balance the general ledger Cash at Bank account (use T-account). B 1 DE Enter Details into the T-Account below: Cash at Bank Date Date Details Details Credit Debit $ $ Question 3 (b) (7 Marks) Prepare the Bank Reconciliation statement as at 30 June 20x5. AB I Enter your answer into the template below
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