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6A1 g9 6A-1 From the following information, construct a bank reconciliation for Bang Co. as of February 28, 201X Then prepare journal entries if needed
6A1
g9 6A-1 From the following information, construct a bank reconciliation for Bang Co. as of February 28, 201X Then prepare journal entries if needed (15 min) LO3 Checkbook balance $1,314 Outstanding checks $654 Bank statement 1,050 Bank service charge 65 balance Deposits (in transit) 800 NSF Tamara Carter check in payment of account was returned for 53 insufficient funds. 6A-2 In general journal form, prepare journal entries to establish a petty cash fund on March 1 and replenish it on March 31Step by Step Solution
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