3 marksBank Reconciliation
CSEC Principles of Accounts · May/June 2012 · Paper 2 · Question 3(b)(ii)
Discrepancies exist between V. Cheeseman's Cash Book and the bank statement as at 31 August 2011, with the bank statement showing a balance of $5 680.
Starting with the updated Cash Book balance, draw up a Bank Reconciliation Statement for V. Cheeseman for the month ended 31 August 2011.
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