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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 lease enter joumal

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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 lease enter joumal entries for each of the following, if required. 1. Outstanding deposit 2. Interest earned 3. NSF cheque 4. Bank service charge 5. Error 6. Notes receivable collected 7. Outstanding cheque a) Prepare a bank reconciliation, for Callaho inc for the month ended December 31,2015 . Prepare resultin ould be 15/ Jan)

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