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Prepare Bank Reconciliation Statement as...

Prepare Bank Reconciliation Statement as on 30st June , 2018 for Jyoti Sales Private Limited from the information given below :
`{:(,Rs),((i)"Bank overdraft as per Cash Book on 30th June, 2018","1,10,450"),((ii)"Cheques issued on 20th June, 2018 buy not yet presented.","15,000"),((iii)"Cheques deposited but not yet credited by the bank.","22,750"),((iv)"Bills for collection not advised by the bank but credited to the account.","247,200"),((v)"Interset debited by the bank on 27th June, 2018 but no adice received.","12,155"),((vi)"Subsidy received from the authorities by the bank on our behalf,", "2,400"),((vii)"Amount wrongly debhited by the bank.","2,400"),((viii)"Amount wrongly credited by the bank.","5,00"):}`

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