Revision question on how to perform the bank reconciliation

Revision question on how to perform the bank reconciliation

The following is a summary from the cash book of BW Ltd for July 2015:

On investigation, it was discovered that:

i)   Bank charges of TZS 15 shown on the bank statement have not been entered into the cash book.

ii)  A cheque drawn for TZS 110 to pay a supplier has been entered in the cash book as a receipt. read more