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6 Required Information Part 2 of 3 Problem 6-5A Preparing a bank reconciliation and recording adjustments LO P3 [The followinReferences Problem 6-5A Part 2 2. Prepare journal entries to adjust the book balance of cash to the reconciled balance. (If n

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Answer #1
Adjusting entries:
S.no. Accounts title and explanations Debit $ Credit $
a. No entry for deposits in transit
b. No entry for checks outstanding
c. Accounts receivable 691
     Cash account 691
(for NSF check)
d. Cash account 19
     Interest revenue 19
(for interest credited)
e. Cash account 1650
      Notes receivable 1650
(for collection of notes receivable)
f. Accounts payable 41
      Cash account (2132-2091) 41
(for error in check no 5904)
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