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correct and fill the rest Requirement 2. Journalize the entries based on the bank reconciliation. (Record debits first, then credits. Select the explanation on the

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Requirement 2. Journalize the entries based on the bank reconciliation. (Record debits first, then credits. Select the explanation on the last line of the journal entry table.) Begin with the EFT collection of the note. The Cash account of Brattleboro Associates on February 28, 2022, follows. (Click the icon to view the Cash account.) Brattleboro Associates recelved the below bank statement on February 28, 2022. (Click the icon to view the February bank statement.) Brattleboro deposits all cash receipts in the bank and makes all payments by cheque. Required Cash account bruary 28,2022 . Use the cheque date reconciliation. The Cash account of Brattleboro Associates on February 28, 2022, follows. (Click the icon to view the Cash account.) Brattleboro Associates received the below bank statement on February 28, 2022. III (Click the icon to view the February bank statement.) Brattleboro deposits all cash receipts in the bank and makes all payments by cheque. Required Requirement 1. Prepare the bank reconciliation of Brattleboro Associates for February 28, 2022. Use the cheque date instead of a cheque number in the reconciliation. Prepare the bank portion of the reconciliation followed by the book portion of the reconciliation. The Cash account of Brattleboro Associates on February 28, 2022, follows. (Click the icon to view the Cash account.) Brattleboro Associates recelved the below bank statement on February 28, 2022. (Click the icon to view the February bank statement.) Brattleboro deposits all cash receipts in the bank and makes all payments by cheque. Required Requirement 1. Prepare the bank reconciliation of Brattleboro Associates for February 28, 2022. Use the cheque date instead of a cheque number in the reconciliation. Prepare the bank portion of the reconciliation followed by the book portion of the reconciliation. The Cash account of Brattleboro Associates on February 28, 2022, follows. (Click the icon to view the Cash account.) Brattleboro Associates received the below bank statement on February 28, 2022. Eiti (Click the icon to view the February bank statement.) Brattleboro deposits all cash receipts in the bank and makes all payments by cheque. Required

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