Bank balance per cash reconciliation agrees to the corresponding bank.
G/L balance per reconciliation agrees to the G/L.
Verified the mathematical accuracy of the bank reconciliations.
Segregation of duties was performed, and bank reconciliation was reviewed by accounting manager (K.Jaturaporn) to ensure that bank reconciliation has been properly performed.
All reconciled items were ordinary in the usual course of business, and a review of control over long outstanding reconciled items is implemented.