Y presented three cheques of RS. 3,000.RS. 4,500 and RS.3,600 with the bank on 28M
4. Out of these, cheques amounting to Rs. 4.500 and RS. 3,000 were shown in the pass book
nth of April 2014. While reconciling the balance on 31-03-2014, which of these cheques wou
en in reconciliation.
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they all debited in the cash book
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