Accounting (0452) Bank Reconciliation Revision Note
Hestia Laurent
CAIE IGCSE Accounting – Bank Reconciliation notes covering Cash Book vs Bank Statement, reconciling items (bank charges, dishonoured cheques, unpresented cheques, outstanding lodgements), and common errors. 
Step-by-step adjusted Cash Book and Bank Reconciliation Statement with worked examples and exam tips for quick revision. 
See More Study and Revision Guide 6 months ago
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