Accounting 0452 · IGCSE · Bank reconciliation

Bank reconciliation — practice question

Jamal’s bank statement on 1 May displayed a bank overdraft of $1460$. On that date, there were cheques not yet presented of $385$ and deposits not yet credited of $255$. What was the cash book balance at 1 May?

  • A$1330 credit
  • B$1330 debit
  • C$1590 credit
  • D$1590 debit

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