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This document contains two accounting questions. Question 1 provides various financial balances for Sunnasee & Co. and asks to prepare the trading and profit & loss account for the year ended December 31, 2012 and the balance sheet on that date using the provided information. Question 2 has two parts: part A asks to calculate the adjusted bank balance based on discrepancies identified between the cash book and bank statements, and prepare a bank reconciliation statement; part B asks to identify three stakeh
- Author
- Rajshree Dewoo
- Language
- EN