سؤالي هو:
the cashbook of abusiness shows a balance of $1125 over drawn at 31 may 2006. it is subsequently discovered that a direct debit of $60 has not been recorded in the cashbook and that a dishonoured cheque receipt of $140 has been entered on the wrong side of the cashbook. outstanding cheqes at 31 May2006 amounted to $540
what is the balance per the bank statement as at 31 May 2006
شكرا جزيلا لكم اريد الحل مع الشرح..
واريد توضيح bank reconciliation بالشرح