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Auditing. Shown below is the bank reconciliation for Bill Company for November 2018: Balance per bank, Nov, 30, 2018 P150,000 Add; Deposit in transit 24,000

Auditing. Shown below is the bank reconciliation for Bill Company for November 2018: Balance per bank, Nov, 30, 2018 P150,000 Add; Deposit in transit 24,000 Total 174,000 Less: Outstanding checks P28,...

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