Accounting 9706 · AS & A Level · Reconciliation and verification

Reconciliation and verification — practice question

At 31 May, the cash book showed a debit balance of $5760$ on the bank account. During the reconciliation of the bank account against the bank statement, these items were noted: amount not yet credited by bank $900$ bank charges $120$ dishonoured cheque $340$ unpresented cheque $740$ What amount appeared on the bank statement at 31 May?

  • A$3660$
  • B$5140$
  • C$5460$
  • D$5820$

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