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Prepare Bank Reconciliation statement of...

Prepare Bank Reconciliation statement of Shri Krishan as on 31st March , 2019 :
(i) Balance as per Bank Pass Book as on the date is ₹ 10,000.
(ii) Bank collected a chequ of ₹ 500 on behalf of Shri Krisrhan but wringly credited it to Shri Kishan's Account (another customer)
(iii) Bank recorded a cash deposit of ₹ 2,598.
(iv) Withdrawal column of the Pass Book undercasted by ₹ 100
(v) Credit balance of ₹ 1,500 as on Page 10 of the Pass Book was recorded on Page 11 as a debit balance.
(vi) payment of a cheque of ₹ 350 was recorded twice in the Pass Book.
(vii) Pass Book showed a credit of ₹ 1,000 deposited by Shri Kishan (another coutomer of the Bank)
(viii) Divided collected by bank ₹ 125

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