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BANK RECONCILIATION ONLY!! The bank portion of the bank reconciliation for Pharoah Company At November 3 0 , the cash balance per books was $
BANK RECONCILIATION ONLY!! The bank portion of the bank reconciliation for Pharoah Company
At November the cash balance per books was $ and the cash balance per the bank statement was $ The bank did not make any errors but Pharoah Company made two errors.
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