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The following items are the reasons for the difference between bank balance as per cash book and bank statement, except O errors in cash
The following items are the reasons for the difference between bank balance as per cash book and bank statement, except O errors in cash book O errors in bank statement O cheques deposited and cleared O cheques issued but not presented for payment Bank charges amounting to RM70 was not entered in the cash book. What is the correct adjustment? * O Bank charges will be debited in cash book Bank charges will be credited in cash book Bank charges will be added to cash book balance O No adjustment in cash book Which error is the result of unadjusted balance in cash book? O Deposit in transit O Outstanding cheques O Unpresented cheques O The omission of bank charges
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