The following is a summary of the cash book of High Ltd for March 2020:
GH¢
Opening balance b/d
4,120
Payments
46,560
Receipts
45,320
Closing balance c/d
2880
49,440
On the investigation you discover that at 31 March 2020:
You are required to:
i. Show the adjustments that should be made in the cash book.
ii. Prepare a bank reconciliation statement at 31 March 2020.
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