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The bank statement for the month of December for Maddison Ltd. is presented below: Balance Amounts Deducted (Debits) Amounts Added (Credits) Balance Last No. Total

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The bank statement for the month of December for Maddison Ltd. is presented below: Balance Amounts Deducted (Debits) Amounts Added (Credits) Balance Last No. Total $ No, Total amount This statement statement $7111.98 10 entries $3,942.14 5 entries $10,393.03 $13,508.87 Cheques and other debits Deposits Balance No. Amount 14 $184.81 $6,284,38 $985,50 18 $891.23 19 $126.00 $846.52 21 $342.15 $722.63 INSF $325.00 $1500.00 EFT 17 $423.22 24 $876.92 125 $218.05 22 $534.76 SC $20.00 Balance - December 31, $13,508.87 Symbols - NSF (Non sufficient funds), SC (Service charge), EFT (electronic fund transfer) Cheque =18 was correctly written for $891.23 for a payment on account. The NSF cheque was from Mrs. W. Rask, a customer in settlement of an account receivable. An entry had not been made for this. The EFT is for an electronic collection of accounts receivable in the amount of $1500, which has not yet been recorded by the company. The bank service charge is 520 (a) Calculate the unadjusted cash balance per books at December 31, 2022. (b) Prepare a bank reconciliation at December 31, 2022

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