1From the following, draw up a bank reconciliation statement from details as on
31 December 2006:
Cash at bank as per bank column of the cash book 2,910
Unpresented cheques 730
Cheques received and paid into the bank, but not yet entered on the bank statement 560
Credit transfers entered as banked on the bank statement but not entered in the
cash book 340
Cash at bank as per bank statement 3,420
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