At 31 December 2021, the sales ledger control account had a balance of $\$ 19100$ while the total balances in the sales ledger were $\$ 20900$.
The following reconciliation statement had been prepared after the errors were located.
What is the correct amount of total trade receivables as shown in the statement of financial position?

1 )
$\$ 17500$
2 )
$\$ 18900$
3 )
$\$ 19300$
$\$ 20700$
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