| Name: | ____________________________________ |
Please note the distribution of marks while completing your case study.
| Bank Reconciliation Statement (Adjustments to Bank balance) | ||
| Bank Reconciliation Statement (Adjustments to Cash balance) | ||
| Adjusting Entry (Additions to firm's cash balance) |
/2 | |
| Adjusting Entry (Deductions from firm's cash balance) | ||
| Total: |