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ACCT 105 Assignment #5 (Chapter 9) I. Bank Reconciliation The bank reconciliation prepared by Samir's Salon on November 30, 2025 appeared as follows: The following
ACCT 105 Assignment \#5 (Chapter 9) I. Bank Reconciliation The bank reconciliation prepared by Samir's Salon on November 30, 2025 appeared as follows: The following bank statement was received for the month of December: Required: Prepare a bank reconciliation for December 31, 2025 and journalize the necessary entries. The Cash account in the general ledger appeared as follows on December 31: II. Petty Cash Exercise Complete E9-2B (both establishment and replenishmentjournal entries), E9-3B (replenishment entry only) and E9-4B (replenishment entry only) from the textbook. Note that the journal entries for E9-3B and E9-4B must be a full replenishment entry, not just a partial entry. Bank Reconciliation
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