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a ) The following bank statement was received. Prepare a bank reconciliation for July:a ) The following bank statement was received. Prepare a bank reconciliation

a) The following bank statement was received. Prepare a bank reconciliation for July:a) The following bank statement was received. Prepare a bank reconciliation for July:
Additional Information: The NSF cheque was received in June from Southgate Inc. for a sale dated June 15.
Additional Information: The NSF cheque was received in June from Southgate Inc. for a sale dated June 15. book balance =1105701.5
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