"ABC" Company had provided you with the following bank reconciliation related information as of March...
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Accounting
"ABC" Company had provided you with the following bank reconciliation related information as of March :
Balance per bank statement,
The total amount of the Outstanding checks
The total amount of Deposit in transit DIT
$
$
$
Moreover, data per bank statement for the month of April are shown below:
The total amount of Disbursements.
The total amount of Deposits in April
$
Outstanding checks as of April
$
$
Based on the abovegiven information, What is the amount of cash disbursements per books in April, if All reconciling items at March cleared through the bank in April.
cash disbursements per books in April
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