أنشئ حسابًا أو سجّل الدخول للانضمام إلى مجتمعك المهني.
Answer is d) .........to find the reasons of differences in balance as per Cash Book and Bank Statement.
The Statement to find out the difference between the Bank Book and the Cash Book. it should be tally. if no Tally that mean any transaction is missing or wrongly reported any one book.
The purpose of of preparation of bank reconciliation is to find the reasons of differences in balance as per Cash Book and Bank Statement.