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Below is the bank reconciliation of CPA Company for July 2021: Balance per Bank, July 31, 2021 P 750,000 Add: Deposit in Transit 120,000 Total
Below is the bank reconciliation of CPA Company for July 2021: Balance per Bank, July 31, 2021 P 750,000 Add: Deposit in Transit 120,000 Total P 870,000 Deduct: Outstanding Checks P 140,000 Erroneous ...
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