Question: Review the document provided below and identify what trust accounting component this is from the list of provided responses Debit Credit Balance $ 38,800.00 Opening

 Review the document provided below and identify what trust accounting component

Review the document provided below and identify what trust accounting component this is from the list of provided responses Debit Credit Balance $ 38,800.00 Opening balance 01/04/2011 $ 59,900.00 Deposits from Trust Account Receipt Journal Sub-Total $ 98,700.00 Lens presented cheques from Trust Payment 01434 Journal #1435 #1436 1437 #1438 Transfers Less un presented cheques Total cheques presented $ 1900.00 $1841.00 $ 1823.15 5 485.85 $ 350.00 $ 6.400.00 Closing balance as a 30/04/2019 $92,300.00 Select one: Bank Reconciliation Trust Cheque O Cheque Butt Payment Journal O Trial Balance Trust Account Bank Statement General Bank Account Bank Deposit O Transfer Journal Settlement Statement O Trust Account Receipt 0 Receipts Journal Ledger End of Month Landlord Statement

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