ABC ltd aconstruction companys statement of financial position as at 31st December 2017 showed abank balance of ksh 90000.The bank statement however showed adebit balance of ksh 50000.The following details were discovered on checking the bank statement. The following details were discovered on checking the bank statement. 1.Acheque received from Taifa ltd on 21st December for sh 60000 and posted in the cashbook did not appear. 2.A cheque paid to kamara shs 70000on 25th December had not been presented. Acheque received from njiru on 24th December ksh 60000and entered into cash book was dishonoured.No entry in this regard was recorded in the cashbook. 1.Bank charges amounting to ksh 10000 had not been posted into cashbook. 2.The bank received directly shs 100000 to Olivia had been posted in error of ksh 10000in the cashbook. The bank statement contained intrest charges at ksh 150000 and payment of an insurance standing order of ksh 75000.The updated cashbook.Bank reconciliation statement for ABC Ltd for month of December 2017.Draw the cashbook​