Question: Question 6 (7 marks) Using the following information, prepare a bank reconciliation for Biron Bay Ltd as at 31 May. a. The bank statement balance

Question 6 (7 marks)

Using the following information, prepare a bank reconciliation for Biron Bay Ltd as at 31 May.

a. The bank statement balance is $18,200.

b. The cash account balance is $14824.

c. Outstanding cheques totalled $3200.

d. Deposits in transit are $600.

e. The bank service charge is $24.

f. Collection of notes by bank, $800.

Answer:

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