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Bank Reconciliation An accounting clerk for Chesner Co . prepared the following bank reconciliation: Chesner Co . Bank Reconciliation August 3 1 Cash balance according

Bank Reconciliation
An accounting clerk for Chesner Co. prepared the following bank reconciliation:
Chesner Co.
Bank Reconciliation
August 31
Cash balance according to company's records
Add: Outstanding checks
Error by Chesner Co. in recording Check
No.1056 as $940 instead of $490
Note for $10,100 collected by bank, including interest
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