When starting with the cash book balance in preparing the...
When starting with the cash book balance in preparing the bank reconciliation statement, the followings are added
Unpresented cheque
Dividend
Uncredited cheque
credit transfer
Correct answer is C
Uncredited cheque have to be less when starting with balance as per cashbook not add because the cheque are yet to be credited by the bank
\(\begin{array}{c|c} & D \\ \hline \text{Cash in hand}& 1,440\\ \text{Cash at bank} & 24...
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