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ber 31, 2018 BANK Balance, Dec 31, 2018 S 406,367 s 447,760 Balance, Dec. 31, 2018 ADD: 172,000 1,200 Deposit in transit 619,760 407,567 LESS

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ber 31, 2018 BANK Balance, Dec 31, 2018 S 406,367 s 447,760 Balance, Dec. 31, 2018 ADD: 172,000 1,200 Deposit in transit 619,760 407,567 LESS Outstanding checks: (w) replenish petty cash (x) for owner withdrawal 1,800 140 1,940 $133 3,000 EFT payment to Bank Checks (y) for franchise fee 211,000 214, 133 $ 405,627 Adju usted book balance, Dec 31, 2018 $405,627 Adjusted bank balance, Dec. 31, 2018 Record journal entries as needed (Record debits first then credits. Exdlude explanations from any journal entries) Begin by recording the adjustment for the additions to Cash as a result of the bank reconciliation. Date Accounts Credit zCash oose from any list or enter any number n the input fields and hen click Check Answer. parts

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