Instructions: Write up the following transactions in the cash book of J. Tot and balance the cash book at the end of the month. (2 pts. per entry, 6 pts. to balance the cash book, and 5 pts) 2021 Nov. 1 Nov. 2 stared business with $4,000 in the bank paid for fixtures by cheque, $660 cash sales, $225 Nov. 4 Nov. 5 paid rent by cash, $140 Nov. 6 T. Thomas paid us by cheque, $188 Nov. 8 Nov. 10 cash sales paid direct into the bank, $308 J. Khaleel paid us in cash, $300 Paid wages in cash, $275 Nov. 12 Nov. 14 Nov. 15 J. Walters lent us $500 paying by cheque withdrew $200 from the bank for business us cash, $60 bought stationery paying Nov. 20 Nov. 22 paid J. Fung by cheque, $166 Nov. 28 cash drawing, $100 Nov. 29 J. Scott paid us by cheque, $277 cash sales, $66 Nov. 31 a) 2 pts. per entry b) 8 pts. for balancing the cash book c) 5 pts. for the format of the cash book *Prepare the cash book on the blank pages attached at the end of the module.