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bank reconsilation accounttitle and explanation Question 2015 720 when Y n . 6 N M AEG 3 View Polides Current Attempt in Progress The following

bank reconsilation
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accounttitle and explanation
Question 2015 720 when Y n . 6 N M AEG 3 View Polides Current Attempt in Progress The following information pertains to Oriole Video Company 1 2 3. Cash balance per bank, July 31.57,783. Julybank service charge not recorded by the depositor SH. Cash balance per books July 31. 57,304 Deposits in transit, ily 31, 51.760, Bank collected 51.160 note for Orole in July blus interest $42, lets fee 526. The colle and no interest has been accord Outstanding checks July 31. 5597 4. 5. 6. . (a) Your answer has been este Prepare a bank reconciliation at the ORIOLE VIDEO COMPANY Bank Reconciliation for the Cam FE F2 FB F9 F10 F1 FE & uestion 2 of 5 ORIOLE VIDEO COMPANY Bank Reconciliation For the Month nded fly Cash balance per ankstattet 7783 Add Deports 1750 7549 Le Outside 597 Achterbank $ Gebebi Adv Collection 1990 vid Adisted in certo 1956 P x * FE 7 78 FS F10 F11

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