• Bank Reconciliation
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  • cheque received which the debtor's bank refuses to pay may occur because the debtor does not have enough money in the bank account
    dishonoured cheque/not sufficient fund
  • documents prepared by a business to explain why the updated bank balance in the cash book doesn't agree with bank statement
    bank reconciliation statement
  • items receive which recorded on the debit side in the cash book but not yet recorded in bank statement
    amounts not yet credited/deposit in transit
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