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Prepare bank reconciliation statement of...

Prepare bank reconciliation statement of Shri Bhandari as on March 31, 2017
(i) The Payment of a cheque for 550 was recorded twice in the passbook.
(ii) Withdrawal column of the passbook under cast by 200
(iii) A Cheque of 200 has been debited in the bank column of the Cash Book but it was not sent to bank at all.
(iv) A Cheque of 300 debited to Bank column of the cash book was not sent to the bank.
(v) 500 in respect of dishonoured cheque were entered in the passbook but not in the cash book. Overdraft as per passbook is 20,000.

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