Problem

Bank reconciliation adjustmenta. Show the reconciling items in a horizontal model or write...

Bank reconciliation adjustment

a. Show the reconciling items in a horizontal model or write the adjusting jour­nal entry (or entries) that should be prepared to reflect the reconciling items of Exercise 5.2.


b. What is the amount of cash to be included in the August 31 balance sheet for the bank account reconciled in Exercise 5.2?

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