Exercises 1. Record the following transactions in the cash book of Regina Tšepe, complete double entry, balance all accounts and compile a trial balance. If you need to review the trial balance, read the section in Book One on page 103 that explains it. 1 May 2002 Started business with cash capital May 2 (duplicate receipt No. X001) Deposited into bank (duplicate deposit slip No. 003) M5 000 4 500 3 Bought motor van by cheque (cheque counterfoil No. Z001) 3.000 4 Bought stock by cheque (cheque counterfoil No. Z002) 1.200 8 Sold goods for cash (total cash registered roll No. RR1) 700 10 Paid rent bu cheque​