1.1 When the bank reconciliation process was carried out on March 31, 20x1, there was a difference between the bank balance according to the books and the bank balance according to the checking account of Rp5,000,000. After checking again by accounting, it is known that the difference is because on March 30, 2021 payment has been received from the customer in the form of a transfer form and has been deposited with the bank, but the funds will only be...