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The following bank statement and cash book relates to Sunshine Enterprises. Prepare an updated cash book and a bank reconciliation statement to explain the difference...

      

The following bank statement and cash book relates to Sunshine Enterprises. Prepare an updated cash book and a bank reconciliation statement to explain the difference in their balance as on 31st December 2013.
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Answers


Kavungya
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Kavungya answered the question on August 17, 2021 at 09:54


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