| The following bank reconciliation statement has been prepared by a trainee accountant:Bank reconciliation 30 September 2002
 $
 Balance per bank statement (overdrawn) 36,840
 add: Lodgements credited after date 51,240
 88,080
 less: Outstanding cheques 43,620
 Balance per cash book (credit) 44,460
 Assuming the amounts stated for items other than the cash book balance are correct, what should the cash book
 balance be?
 A $44,460 credit as stated
 B $60,020 credit
 C $29,220 debit
 D $29,220 credit
   D –$36,840 + $51,240 – $43,620 = $29,220 overdrawn |