Accounting (0452) Bank Reconciliation Revision Note
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. 
باز نشر محتواها در فضای مجازی، ممنوع است.

باز نشر محتواها در فضای مجازی، ممنوع است.