The 30 April bank reconciliation of M Co was prepared using the information below:
Outstanding deposit $1 000
Ledger bank balance $2 700 Dr adjusted
Unpresented cheques $620
What was the bank statement balance at 30 April?
A) $3 080 Dr
B) $2 320 Cr
C) $4 320 Cr
D) $2 320 Dr
Correct Answer:
Verified
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