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Consider the following information and prepare a bank reconciliation, along with any resulting journal entries, for Callaho Inc. for the month ended August 3 1
Consider the following information and prepare a bank reconciliation, along with any resulting journal entries, for Callaho Inc. for the month ended August
Please enter journal entries for each of the following, if required.
Enter the corresponding number as the description for each entry. Also, the dates must be entered in the format ddmmm ie Jan
Deposit in transit
Interest earned
NSF check
Bank service charge
Error
Notes receivable collected
Outstanding check
The NSF check for $ was that of a customer.
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