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a. Prepare a bank reconciliation for Arthur Company at july b. Prepare the journal entry for entries) necessary to bring the Cash in Bank account

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a. Prepare a bank reconciliation for Arthur Company at july b. Prepare the journal entry for entries) necessary to bring the Cash in Bank account into agreement with the reconciled cash balance on the bank reconciliation Note: Do not round answers.enter using two decimal places, when needed. Bank reconciliation Journal entries ARTHUR COMPANY Bank Reconciliation July Balance from ger Add: Add: Bank crror. Solomon Company check charged against Arthur Company's account Less: NSF Check GENERAL JOURNAL Description Debit Credit Date July 31 To record proceeds of note. To correct recording of check. To record service charge. Cash in Bank To reclassify NSF check as an account receivable

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