Journal Entries from a Bank Reconciliation Refer to PE 6-21. Make all journal entries necessary on the

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Journal Entries from a Bank Reconciliation Refer to PE 6-21. Make all journal entries necessary on the company’s books to adjust the reported cash balance in response to the receipt of the bank statement.

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Accounting Concepts And Applications

ISBN: 9780324376159

10th Edition

Authors: W. Steve Albrecht, James D. Stice, Earl K. Stice, Monte R. Swain

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