Bank Reconciliation
2019-20

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Bank reconciliation – pro forma

This reconciliation should include all bank and building society accounts, including short term investment accounts. It must agree to Box 8 in the column headed “Year ending 31 March 20xx” in Section 2 of the AGAR – and will also agree to Box 7 where the accounts are prepared on a receipts and payments basis. Please complete the highlighted boxes, remembering that unpresented cheques should be entered as negative figures.

Name of smaller authority: Eskdale Parish Council
County area (local councils and parish meetings only):
Financial year ending 31 March 2020
Prepared by (Name and Role): Lesley Cooper Clerk/RFO
Date: 2020-04-13 00:00:00
£ £
Balance per bank statements as at 31/3/20:
Current acct account 1 2355.57
Deposit Acct account 2 426.04
account 3
account 4
account 5
account 6
account 7
account 8
2781.61
Petty cash float (if applicable)
Less: any unpresented cheques as at 31/3/20 (enter these as negative numbers)
item 1
item 2
item 3
item 4
[add more lines if necessary] item 5
item 6
item 7
item 8
Add: any un-banked cash as at 31/3/20
Net balances as at 31/3/20 (Box 8) 2781.61
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