Verified the bank balance in bank reconciliation that it was the same as the corresponding bank statement.
Verified general ledger balance in bank reconciliation that it was the same as the amount in general ledger.
Verified the mathematical accuracy of the bank reconciliations.
Reviewed whether the reconciling items were in the usual course of business and the timing of recording items are appropriate.
Verified proper approval by someone other than the preparer, of reconciliations and that the reconciliations were completed in a timely manner
(Prepared by Outsource Accountant, Checked by K. Wipharat - Account;Assistant Manager, Approved by K. Ariya - Senior General Manger and K. Aita - Deputy Managing Director).