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BE 7-9 The following information relates to Pharoah Limiteds Cash account. The reconciled cash balance from Junes bank reconciliation is $17,390. During the month of
BE 7-9
The following information relates to Pharoah Limiteds Cash account. The reconciled cash balance from Junes bank reconciliation is $17,390. During the month of July, Pharoah recorded cash receipts of $22,770 and cash payments of $25,720 in the general ledger Cash account. Calculate Pharoahs cash balance per books at July 31, immediately prior to preparing the July bank reconciliation.
Pharoahs cash balance per books at July 31 | $__________ |
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