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i need help preparing a bank reconciliation, journal entries and analysis.

CHAPTER Internal Control and Cash Ish on August 31 • Che bog Problem 7-RA Preparing a bank reconciliation and recording adjus
CHAPTER 7 Internal Control and Cash Cheque #5904 was aue #5904 Was correctly written for $9.340.55 to pay for computer equipm


Problem 7-8A Preparing a bank reconciliation and recording adjustments L06 CHECK FIGURE: 1. Adjusted book balance, $4,871.89
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