=+PR 8-5B Bank reconciliation and entries obj. 5 1. Adjusted balance: $13,893.32 Balance as of June

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=+PR 8-5B Bank reconciliation and entries obj. 5

✔ 1. Adjusted balance: $13,893.32 Balance as of June 1 $9,317.40 CASH RECEIPTS FOR MONTH OF JUNE $9,601.58 DUPLICATE DEPOSIT TICKETS:

Date and amount of each deposit in June:

Date Amount Date Amount Date Amount June 1 $1,080.50 June 10 $ 896.61 June 22 $ 987.34 3 854.17 15 882.95 24 942.71 8 840.50 17 1,606.74 30 1,510.06

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Accounting

ISBN: 978-1111001346

23rd Edition

Authors: Carl S. Warren

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